UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
SCHEDULE 14A
PROXY STATEMENT PURSUANT TO SECTION 14(A) OF THE
SECURITIES EXCHANGE ACT OF 1934
Filed by the Registrant ☒ Filed by a Party other than the Registrant ☐
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☐ | Preliminary Proxy Statement | |
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☒ | Definitive Proxy Statement | |
☐ | Definitive Additional Materials | |
☐ | Soliciting Material Pursuant to §240.14a-11(c) or §240.14a-12 |
MFS® SERIES TRUST I
MFS® SERIES TRUST II
MFS® SERIES TRUST III
MFS® SERIES TRUST IV
MFS® SERIES TRUST V
MFS® SERIES TRUST VI
MFS® SERIES TRUST VII
MFS® SERIES TRUST VIII
MFS® SERIES TRUST IX
MFS® SERIES TRUST X
MFS® SERIES TRUST XI
MFS® SERIES TRUST XII
MFS® SERIES TRUST XIII
MFS® SERIES TRUST XV
MFS® SERIES TRUST XVI
MFS® MUNICIPAL SERIES TRUST
MFS® INSTITUTIONAL TRUST
MASSACHUSETTS INVESTORS GROWTH STOCK FUND
MASSACHUSETTS INVESTORS TRUST
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(Name of Person(s) Filing Proxy Statement, if other than the Registrants)
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IMPORTANT NOTICE REGARDING THE AVAILABILITY OF PROXY MATERIALS FOR THE SHAREHOLDER MEETINGS TO BE HELD ON MARCH 23, 2017.
THIS PROXY STATEMENT IS AVAILABLE AT https://www.proxy-direct.com/mfs-28421
Massachusetts Investors Growth Stock Fund | MFS® International New Discovery Fund | |
Massachusetts Investors Trust | MFS® International Value Fund | |
MFS® Absolute Return Fund | MFS® Lifetime Income Fund | |
MFS® Aggressive Growth Allocation Fund | MFS® Lifetime 2020 Fund | |
MFS® Alabama Municipal Bond Fund | MFS® Lifetime 2025Fund | |
MFS® Arkansas Municipal Bond Fund | MFS® Lifetime 2030 Fund | |
MFS® Blended Research Core Equity Fund | MFS® Lifetime 2035 Fund | |
MFS® Blended Research Emerging Markets Equity Fund | MFS® Lifetime 2040 Fund | |
MFS® Blended Research Global Equity Fund | MFS® Lifetime 2045 Fund | |
MFS® Blended Research Growth Equity Fund | MFS® Lifetime 2050 Fund | |
MFS® Blended Research International Equity Fund | MFS® Lifetime 2055 Fund | |
MFS® Blended Research Mid Cap Equity Fund | MFS® Lifetime 2060 Fund | |
MFS® Blended Research Small Cap Equity Fund | MFS® Limited Maturity Fund | |
MFS® Blended Research Value Equity Fund | MFS® Low Volatility Equity Fund | |
MFS® California Municipal Bond Fund | MFS® Low Volatility Global Equity Fund | |
MFS® Commodity Strategy Fund | MFS® Managed Wealth Fund | |
MFS® Conservative Allocation Fund | MFS® Maryland Municipal Bond Fund | |
MFS® Corporate Bond Fund | MFS® Massachusetts Municipal Bond Fund | |
MFS® Core Equity Fund | MFS® Mid Cap Growth Fund | |
MFS® Diversified Income Fund | MFS® Mid Cap Value Fund | |
MFS® Emerging Markets Debt Fund | MFS® Mississippi Municipal Bond Fund | |
MFS® Emerging Markets Debt Local Currency Fund | MFS® Moderate Allocation Fund | |
MFS® Emerging Markets Equity Fund | MFS® Municipal High Income Fund | |
MFS® Equity Income Fund | MFS® Municipal Income Fund | |
MFS® Equity Opportunities Fund | MFS® Municipal Limited Maturity Fund | |
MFS® Georgia Municipal Bond Fund | MFS® New Discovery Fund | |
MFS® Global Bond Fund | MFS® New Discovery Value Fund | |
MFS® Global Equity Fund | MFS® New York Municipal Bond Fund | |
MFS® Global Growth Fund | MFS® North Carolina Municipal Bond Fund | |
MFS® Global Multi-Asset Fund | MFS® Pennsylvania Municipal Bond Fund | |
MFS® Global Real Estate Fund | MFS® Research Fund | |
MFS® Global Alternative Strategy Fund | MFS® Research International Fund | |
MFS® Global High Yield Fund | MFS® South Carolina Municipal Bond Fund | |
MFS® Global New Discovery Fund | MFS® Strategic Income Fund | |
MFS® Global Total Return Fund | MFS® Technology Fund | |
MFS® Government Securities Fund | MFS® Tennessee Municipal Bond Fund | |
MFS® Growth Allocation Fund | MFS® Total Return Fund | |
MFS® Growth Fund | MFS® Total Return Bond Fund | |
MFS® High Income Fund | MFS® U.S. Government Cash Reserve Fund | |
MFS® High Yield Pooled Portfolio | MFS® U.S. Government Money Market Fund | |
MFS® Inflation-Adjusted Bond Fund | MFS® Utilities Fund | |
MFS® Institutional International Equity Fund | MFS® Value Fund | |
MFS® International Diversification Fund | MFS® Virginia Municipal Bond Fund | |
MFS® International Growth Fund | MFS® West Virginia Municipal Bond Fund |
111 Huntington Avenue, Boston, Massachusetts 02199
The Proxy Statement, the accompanying Notice of a Special Meeting of Shareholders and the proxy card are being made available without charge by following the instructions on your Notice of Internet Availability of Proxy Materials. In addition, shareholders can find important information about each MFS Fund in the Funds’ latest annual and semi-annual reports (if any) to shareholders. Upon request and without charge, the Trusts will furnish each person to whom the Notice of Internet Availability of Proxy Materials or the Proxy Statement is delivered with a copy of these reports. You may obtain copies of one or more reports without charge by telephoning toll-free (800) 225-2606 or by writing to the Trust at the address appearing above or on the Funds’ website atwww.MFS.com or by contacting MFS Service Center, Inc., each Fund’s transfer and shareholder servicing agent, at 111 Huntington Avenue, Boston, Massachusetts 02199.
NOTICE OF A SPECIAL MEETING OF SHAREHOLDERS
TO BE HELD ON MARCH 23, 2017
A Special Meeting of Shareholders of each of the above referenced funds (each, a “Fund” and collectively, the “Funds”) will be held at 111 Huntington Avenue, Boston, Massachusetts 02199, at 10:30 a.m. on Thursday, March 23, 2017, for the following purposes:
ITEM 1. | To elect Steven E. Buller, John A. Caroselli, Maureen R. Goldfarb, David H. Gunning, Michael Hegarty, John P. Kavanaugh, Robert J. Manning, Clarence Otis, Jr., Maryanne L. Roepke, Robin A. Stelmach, and Laurie J. Thomsen as Trustees of each of the trusts of which the Funds are series; and | |
ITEM 2. | To transact such other business as may properly come before the Meeting and any adjournments thereof. |
Each Fund will hold its meeting simultaneously with each other Fund. With respect to Item 1, all of the shareholders of Funds that are series of the same Trust will vote together as a single class.
THE TRUSTEES THAT OVERSEE YOUR FUND RECOMMEND
THAT YOU VOTE IN FAVOR OF ITEM 1.
Only a Fund’s shareholders of record on January 6, 2017 will be entitled to vote at that Fund’s Meeting of Shareholders.
BYORDEROFTHE BOARDOF TRUSTEES
CHRISTOPHER R. BOHANE
Assistant Secretary and Assistant Clerk
January 30, 2017
YOUR VOTE IS IMPORTANT. IF YOU DO NOT EXPECT TO ATTEND THE MEETING, THEN PLEASE RECORD YOUR VOTING INSTRUCTIONS BY TELEPHONE OR VIA THE INTERNET BY FOLLOWING THE INSTRUCTIONS ON YOUR NOTICE OF INTERNET AVAILABILITY OF PROXY MATERIALS OR, IF YOU HAVE REQUESTED A PROXY CARD BY MAIL, YOU MAY VOTE BY COMPLETING, SIGNING, DATING AND RETURNING THE PROXY CARD. IF YOU VOTE BY TELEPHONE OR VIA THE INTERNET, YOU WILL BE ASKED TO ENTER A UNIQUE CODE THAT HAS BEEN ASSIGNED TO YOU, WHICH IS PRINTED ON THE NOTICE OF INTERNET AVAILABILITY OF PROXY MATERIALS OR YOUR PROXY CARD. THIS CODE IS DESIGNED TO CONFIRM YOUR IDENTITY, PROVIDE ACCESS TO THE VOTING SITE AND CONFIRM THAT YOUR INSTRUCTIONS ARE PROPERLY RECORDED. IF YOU HAVE ANY QUESTIONS REGARDING THE PROXY STATEMENT, PLEASE CALL (800) 225-2606. PLEASE GIVE YOUR VOTING INSTRUCTIONS OR SUBMIT YOUR PROXY CARD PROMPTLY, WHICH WILL HELP AVOID THE ADDITIONAL EXPENSE OF A SECOND SOLICITATION FOR YOUR TRUST.
Massachusetts Investors Growth Stock Fund | MFS® International New Discovery Fund | |
Massachusetts Investors Trust | MFS® International Value Fund | |
MFS® Absolute Return Fund | MFS® Lifetime Income Fund | |
MFS® Aggressive Growth Allocation Fund | MFS® Lifetime 2020 Fund | |
MFS® Alabama Municipal Bond Fund | MFS® Lifetime 2025Fund | |
MFS® Arkansas Municipal Bond Fund | MFS® Lifetime 2030 Fund | |
MFS® Blended Research Core Equity Fund | MFS® Lifetime 2035 Fund | |
MFS® Blended Research Emerging Markets Equity Fund | MFS® Lifetime 2040 Fund | |
MFS® Blended Research Global Equity Fund | MFS® Lifetime 2045 Fund | |
MFS® Blended Research Growth Equity Fund | MFS® Lifetime 2050 Fund | |
MFS® Blended Research International Equity Fund | MFS® Lifetime 2055 Fund | |
MFS® Blended Research Mid Cap Equity Fund | MFS® Lifetime 2060 Fund | |
MFS® Blended Research Small Cap Equity Fund | MFS® Limited Maturity Fund | |
MFS® Blended Research Value Equity Fund | MFS® Low Volatility Equity Fund | |
MFS® California Municipal Bond Fund | MFS® Low Volatility Global Equity Fund | |
MFS® Commodity Strategy Fund | MFS® Managed Wealth Fund | |
MFS® Conservative Allocation Fund | MFS® Maryland Municipal Bond Fund | |
MFS® Corporate Bond Fund | MFS® Massachusetts Municipal Bond Fund | |
MFS® Core Equity Fund | MFS® Mid Cap Growth Fund | |
MFS® Diversified Income Fund | MFS® Mid Cap Value Fund | |
MFS® Emerging Markets Debt Fund | MFS® Mississippi Municipal Bond Fund | |
MFS® Emerging Markets Debt Local Currency Fund | MFS® Moderate Allocation Fund | |
MFS® Emerging Markets Equity Fund | MFS® Municipal High Income Fund | |
MFS® Equity Income Fund | MFS® Municipal Income Fund | |
MFS® Equity Opportunities Fund | MFS® Municipal Limited Maturity Fund | |
MFS® Georgia Municipal Bond Fund | MFS® New Discovery Fund | |
MFS® Global Bond Fund | MFS® New Discovery Value Fund | |
MFS® Global Equity Fund | MFS® New York Municipal Bond Fund | |
MFS® Global Growth Fund | MFS® North Carolina Municipal Bond Fund | |
MFS® Global Multi-Asset Fund | MFS® Pennsylvania Municipal Bond Fund | |
MFS® Global Real Estate Fund | MFS® Research Fund | |
MFS® Global Alternative Strategy Fund | MFS® Research International Fund | |
MFS® Global High Yield Fund | MFS® South Carolina Municipal Bond Fund | |
MFS® Global New Discovery Fund | MFS® Strategic Income Fund | |
MFS® Global Total Return Fund | MFS® Technology Fund | |
MFS® Government Securities Fund | MFS® Tennessee Municipal Bond Fund | |
MFS® Growth Allocation Fund | MFS® Total Return Fund | |
MFS® Growth Fund | MFS® Total Return Bond Fund | |
MFS® High Income Fund | MFS® U.S. Government Cash Reserve Fund | |
MFS® High Yield Pooled Portfolio | MFS® U.S. Government Money Market Fund | |
MFS® Inflation-Adjusted Bond Fund | MFS® Utilities Fund | |
MFS® Institutional International Equity Fund | MFS® Value Fund | |
MFS® International Diversification Fund | MFS® Virginia Municipal Bond Fund | |
MFS® International Growth Fund | MFS® West Virginia Municipal Bond Fund |
PROXY STATEMENT
JANUARY 30, 2017
This Proxy Statement is furnished in connection with the solicitation of proxies by and on behalf of the Board of Trustees (the “Board”) of Massachusetts Investors Growth Stock Fund, Massachusetts Investors Trust, MFS Series Trust I, MFS Series Trust II, MFS Series Trust III, MFS Series Trust IV, MFS Series Trust V, MFS Series Trust VI, MFS Series Trust VII, MFS Series Trust VIII, MFS Series Trust IX, MFS Series Trust X, MFS Series Trust XI, MFS Series Trust XII, MFS Series Trust XIII, MFS Series Trust XV, MFS Series Trust XVI, MFS Institutional Trust and MFS Municipal Series Trust, (each, a “Trust” and collectively, the “Trusts”) to be used at the Meeting of Shareholders (the “Meeting”) of each fund that is a series of one of the Trusts (each, a “Fund” and collectively, the “Funds”) to be held at 10:30 a.m. on March 23, 2017 at 111 Huntington Avenue, Boston, Massachusetts 02199, for the purposes set forth in the accompanying Notice of a Special Meeting of Shareholders (the “Notice”). Information regarding the Board of Trustees can be found in the section of this Proxy Statement entitled “Election of Trustees.”
Shareholders of record at the close of business on January 6, 2017 will be entitled to one vote for each dollar of net asset value held on that date. Each fractional dollar amount will be entitled to a proportionate fractional vote. The number of shares outstanding for each Fund as of January 6, 2017 are set forth on Schedule A.
With respect to Item 1, each Trust will vote separately. This means that for each Trust, the votes of shareholders of all Funds that are series of that Trust will be voted together as a single class.
The mailing address of each Trust and of each Fund is 111 Huntington Avenue, Boston, Massachusetts 02199. The Trustees of the Trusts and employees of Massachusetts Financial Services Company (“MFS”), the Funds’ investment adviser and administrator, may solicit proxies in person or by telephone. The Notice of a Special Meeting of Shareholders, this Proxy Statement and the proxy card are being made available to shareholders of record on January 6, 2017, the record date, beginning on or about January 30, 2017. Upon request and without charge, the Trusts will furnish each person to whom this Proxy Statement or Notice of Internet Availability of Proxy Materials is delivered with a copy of the Funds’ latest annual and semi-annual reports (if any) to shareholders. You may obtain copies of one or more reports without charge by telephoning toll-free (800) 225-2606 or by writing to the Trust at the address appearing above or on the Funds’ website atwww.MFS.com or by contacting MFS Service Center, Inc., each Fund’s transfer and shareholder servicing agent, at 111 Huntington Avenue, Boston, Massachusetts 02199. Directions to the meeting in order to vote in person are available by telephoning (800) 225-2606. The expenses of the preparation of proxy statements and related materials, including printing and delivery costs, and vote solicitation are borne by the Funds.
The Trusts have engaged Computershare Trust Company, N.A. (“Computershare”), the proxy tabulation agent, to provide shareholder meeting services including the distribution of the Notice of Internet Availability of Proxy Materials, this Proxy Statement and related materials to shareholders as well as vote solicitation and tracking. A proxy may be revoked prior to its exercise by a signed writing filed with Computershare, c/o Proxy Tabulator, PO Box 43130, Providence, Rhode Island02940-9915, or by attending the Meeting and voting in person. It is anticipated that the cost of these services will be approximately $7,065,534 and may increase substantially in the event that any vote is contested or increased solicitation efforts are required.
ITEM 1 –ELECTION OF TRUSTEES
The Board, which oversees each Trust, provides broad supervision over the affairs of each Trust and Fund. Those Trustees who are not “interested persons” (as defined in the Investment Company Act of 1940, as amended (the “1940 Act”)) of your Trust or of MFS are referred to as “Independent Trustees” throughout this Proxy Statement. MFS is responsible for the investment management of each Trust’s assets and for providing a variety of other administrative services to each Trust. The officers of each Trust are responsible for its operations.
During the 2016 calendar year the Board was comprised of twelve trustees, ten of whom are Independent Trustees. As of the date hereof, the Board consists of nine trustees, seven of whom are Independent Trustees. An Independent Trustee serves as Chair of the Board. In addition, each of the seven standing Committees of the Board, to which the Board has delegated certain authority and oversight responsibilities, is comprised exclusively of Independent Trustees. For a description of the oversight functions of each of the Committees, see “Committees” below. In connection with each of the Board’s regular meetings, the Independent Trustees meet separately from MFS with their counsel and with the Trusts’ Independent Senior Officer, who is independent of MFS and advises the Independent Trustees regarding contract review, compliance and business matters. The Board reviews its leadership structure periodically and believes that its structure is appropriate to enable the Board to exercise its oversight of the Trusts.
The Funds have retained MFS as the Funds’ investment adviser and administrator. MFS provides each Fund with investment advisory services, and is responsible for day-to-day administration of the Funds and management of the risks that arise from the Funds’ investments and operations. Certain employees of MFS serve as the Trusts’ officers, including the Trusts’ principal executive officer and principal financial and accounting officer. The Board provides oversight of the services provided by MFS and its affiliates, including the risk management activities of MFS and its affiliates. In addition, each Committee of the Board provides oversight of risk management activities with respect to the particular activities within the Committee’s purview. In the course of providing oversight, the Board and the Committees receive a wide range of reports on the Trusts’ activities, including each Trusts’ investment portfolio, the compliance of the Trusts with applicable laws, and the Funds’ financial accounting and reporting. The Board and the relevant Committees meet periodically with MFS’ Chief Risk Officer and MFS’ Chief Investment Risk Officer to receive reports on MFS’ and its affiliates’ risk management activities, including their efforts to (i) identify key risks that could adversely affect the MFS Funds or MFS; (ii) implement processes and controls to mitigate such key risks; and (iii) monitor business and market conditions in order to facilitate the processes in (i) and (ii) above. In addition, the Board and the relevant Committees oversee the risk management activities related to the key risks associated with services provided by various non-affiliated service providers through the receipt of reports prepared by MFS, and, in certain circumstances, through the receipt of reports directly from service providers, such as in the case of each MFS Fund’s auditor, custodian, and pricing service providers. The Independent Trustees also meet regularly with the MFS Funds’ Chief Compliance Officer (who is also MFS’ Chief Compliance Officer) to receive reports regarding the compliance of the MFS Funds with the federal securities laws and the MFS Funds’ compliance policies and procedures. In addition, the Board meets periodically with the portfolio managers of the Funds to receive reports regarding the management of the Funds, including their investment risks.
The Board has fixed the number of Trustees of each Trust at eleven.The Nomination and Compensation Committee of each Board makes recommendations concerning the nominees for Trustees and consists solely of Independent Trustees. Each Nomination and Compensation Committee has recommended that the Board nominate for election by shareholders the nominees described in the following pages, and each Board has nominated such individuals. The Board recommends that you vote in favor of the election of the nominees.
The Funds do not hold annual shareholder meetings for the purpose of electing Trustees, and Trustees are not elected for fixed terms. This means that each Trustee will be elected to hold office until his or her successor is chosen and qualified or until his or her earlier death, resignation, retirement or removal. It is intended that
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proxies not limited to the contrary will be voted in favor of electing Steven E. Buller, John A. Caroselli, Maureen R. Goldfarb, David H. Gunning, Michael Hegarty, John P. Kavanaugh, Robert J. Manning, Clarence Otis, Jr., Maryanne L. Roepke, Robin A. Stelmach, and Laurie J. Thomsen as Trustees of each Trust.
Each nominee has agreed to serve as a Trustee of each Trust if elected. If, before the Meeting, any nominee refuses or is unable to serve, or if any of the nominees is unavailable at the time of the Meeting, and such refusal or inability to serve or unavailability is not anticipated, the Trustees may vote for other nominees at their discretion, or the Trustees may fix the number of Trustees at fewer than eleven for a Trust. Under the terms of the Boards’ retirement policy, an independent Trustee shall retire at the end of the calendar year in which he or she reaches the earlier of 75 years of age or 15 years of service on the Board (or, in the case of an Independent Trustee who joined the Board prior to 2015, 20 years of service on the Board). Mr. Gunning will reach the Trusts’ mandatory retirement age in 2017 and is expected to retire effective December 31, 2017. The Board may appoint a Trustee to replace him or choose to decrease the size of the Board at that time. For each Trust, the eleven nominees for election as Trustees who receive the greatest number of shareholder votes will be elected as Trustees of the Trust.
Unless otherwise noted, the following table presents certain information as of January 1, 2017 regarding the nominees, including the current Trustees of each Trust, standing for election, including their principal occupations, which, unless specific dates are shown, are of more than five years duration, although the titles may not have been the same throughout.
Name, Age | Position(s) | Trustee/Officer Since(1) | Principal Occupations During the Past Five Years | Other Directorships(2) | ||||
INTERESTED TRUSTEES | ||||||||
Robert J. Manning(3) (age 53) | Trustee | February 2004 | Massachusetts Financial Services Company, Chairman, Executive Chairman (since January 2017) and Director; Chairman (until January 2017); Chief Executive Officer (until 2015); Co-Chief Executive Officer (2015-2016) | N/A | ||||
Robin A. Stelmach(3) (age 55) | Trustee | January 2014 | Massachusetts Financial Services Company, Vice Chair (since January 2017); Chief Operating Officer and Executive Vice President (until January 2017) | N/A | ||||
INDEPENDENT TRUSTEES | ||||||||
David H. Gunning (age 74) | Trustee and Chair of Trustees | January 2004 | Private investor | Lincoln Electric Holdings, Inc., Director; Development Alternatives, Inc., Director/Non-Executive Chairman | ||||
Steven E. Buller (age 65) | Trustee | February 2014 | Chairman, Financial Accounting Standards Advisory Council (until 2015); Standing Advisory Group, Public Company Accounting Oversight Board, Member (until 2014); BlackRock, Inc. (investment management), Managing Director (until 2014), BlackRock Finco UK (investment management), Director (until 2014) | N/A | ||||
John A. Caroselli (age 63)(4) | Nominee | N/A | JC Global Advisors, LLC, President; and First Capital Corporation, Executive Vice President (until 2015) | N/A | ||||
Maureen R. Goldfarb (age 61) | Trustee | January 2009 | Private investor | N/A | ||||
Michael Hegarty (age 72) | Trustee | December 2004 | Private investor | Rouse Properties Inc., Director; Capmark Financial Group Inc., Director (until 2015) | ||||
John P. Kavanaugh (age 62) | Trustee and Vice Chair of Trustees | January 2009 | Private investor | N/A | ||||
Clarence Otis, Jr.(4) (age 61) | Nominee | N/A | Darden Restaurants, Inc., Chief Executive Officer (until 2014) | VF Corporation, Director; Verizon Communications, Inc., Director; and Federal Reserve Bank of Atlanta, Director (until 2015). |
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Name, Age | Position(s) | Trustee/Officer Since(1) | Principal Occupations During the Past Five Years | Other Directorships(2) | ||||
Maryanne L. Roepke (age 60) | Trustee | May 2014 | American Century Investments (investment management), Senior Vice President and Chief Compliance Officer (until 2014) | N/A | ||||
Laurie J. Thomsen (age 59) | Trustee | March 2005 | Private investor | The Travelers Companies, Director; Dycom Industries, Inc., Director |
(1) | Date first appointed to serve as Trustee of an MFS Fund. Each Trustee has served continuously since appointment unless indicated otherwise. For the period from December 15, 2004 until February 22, 2005, Mr. Manning served as Advisory Trustee. |
(2) | Directorships or trusteeships of companies required to report to the Securities and Exchange Commission (i.e., “public companies”). |
(3) | “Interested person” of the Trust within the meaning of the Investment Company Act of 1940 (referred to as the 1940 Act), which is the principal federal law governing investment companies like the fund, as a result of a position with MFS. The address of MFS is 111 Huntington Avenue, Boston, Massachusetts 02199. |
(4) | Messrs. Caroselli and Otis do not currently serve as Trustee and have been nominated by the Board to stand for election at the Meeting. |
Unless otherwise noted, each current Trustee listed above served as a board member of 138 funds within the MFS Family of Funds (the “MFS Funds”) as of date hereof. The address of each Trustee is c/o MFS, 111 Huntington Avenue, Boston, Massachusetts 02199.
The following provides an overview of the considerations that led the Board to conclude that each individual serving as a Trustee of the Trusts or each proposed nominee should serve as a Trustee. The current Trustees joined the Board at different points in time since 2004. Generally, no one factor was decisive in the original selection of an individual to join the Board. Among the factors the Board considered when concluding that an individual should serve on the Board were the following: (i) the individual’s business and professional experience and accomplishments; (ii) the individual’s ability to work effectively with the other members of the Board; (iii) the individual’s prior experience, if any, serving on the boards of public companies (including, where relevant, other investment companies) and other complex enterprises and organizations; and (iv) how the individual’s skills, experience and attributes would contribute to an appropriate mix of relevant skills and experience on the Board.
In respect of each current Trustee and each nominee, the individual’s substantial professional accomplishments and prior experience, including, in some cases, in fields related to the operations of the Trusts, were a significant factor in the determination that the individual should serve as a Trustee of the Trusts. Following is a summary of each current Trustee’s and each nominee’s professional experience and additional considerations that contributed to the Board’s conclusion that an individual should serve on the Board:
Steven E. Buller, CPA
Mr. Buller has substantial accounting, investment management, and executive experience at firms within the investment management industry. Mr. Buller was the Chief Financial Officer of BlackRock, Inc. (“BlackRock”), where he oversaw BlackRock’s tax department, internal audit and control functions, and the global corporate and investment company accounting policy. Prior to joining BlackRock, Mr. Buller was an auditor at Ernst & Young LLP for over 30 years, where he served as Global Director of Asset Management and as the audit partner for various investment company complexes. Mr. Buller was chairman of the Financial Accounting Standards Advisory Council until December 31, 2015 and was a member of the Standing Advisory Group of the Public Company Accounting Oversight Board until December 31, 2014. He has also served on the boards of BlackRock Finco UK, a privately-held company, and Person-to-Person, a community service organization.
John A. Caroselli
Mr. Caroselli has substantial senior executive experience in the financial services industry. Mr. Caroselli is the president of JC Global Advisors, LLC, where he provides consulting services with specialization in strategy development and execution, merger integration, market growth plan design and organizational development. He served as Executive Vice President and Chief Development Officer of First Capital Corporation, Executive Vice President and Chief Strategy Officer of KeySpan Corporation, and Executive Vice President of Corporate Development of AXA Financial. Mr. Caroselli also held senior officer positions with Chase Manhattan Corporation, Chemical Bank, and Manufacturers Hanover Trust. Mr. Caroselli currently serves on the boards of several non-profit organizations.
Maureen R. Goldfarb
Ms. Goldfarb has substantial executive and board experience at firms within the investment management industry. She was the Chief Executive Officer and Chairman of the Board of Trustees of the John Hancock Funds and an Executive Vice President of John Hancock Financial Services, Inc. Prior to joining John Hancock, Ms. Goldfarb was a Senior Vice President with Massachusetts Mutual Life Insurance Company. She also held various marketing, distribution, and portfolio management positions with other investment management firms. Ms. Goldfarb is a former member of the Board of Governors of the Investment Company Institute.
David H. Gunning
Mr. Gunning has substantial executive and board experience at publicly-traded and privately-held companies, including past service as the Vice Chairman and a director of Cleveland-Cliffs Inc. (now Cliffs Natural Resources Inc.), a director of Lincoln Electronic Holdings, Inc., and a director of Southwest Gas Corp. He is the former Chairman and Chief Executive Officer of Capitol American Financial Corp. Mr. Gunning is also a former partner and head of the corporate department of Jones Day, a large international law firm.
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Michael Hegarty
Mr. Hegarty has substantial senior executive and board experience at firms within the financial services industry, as well as board experience at publicly-traded and privately held companies. He served as the Vice Chairman and Chief Operating Officer of AXA Financial and as the President and Chief Operating Officer of The Equitable Life Assurance Society. Mr. Hegarty also served as Vice Chairman of Chase Manhattan Corporation and Chemical Bank. He is a former director of AllianceBernstein, which serves as the general partner of a publicly-traded investment adviser, and a former trustee of investment companies in the EQ Advisers Trust family of funds.
John P. Kavanaugh
Mr. Kavanaugh has substantial executive, investment management, and board experience at firms within the investment management and mutual fund industry. He was the Chief Investment Officer of The Hanover Insurance Group, Inc., and the President and Chairman of Opus Investment Management, Inc., an investment adviser. Mr. Kavanaugh held research and portfolio management positions with Allmerica Financial and PruCapital, Inc. He is a Chartered Financial Analyst and currently serves on the board of the Independent Directors Council, a unit of the Investment Company Institute which serves the mutual fund independent director community.
Robert J. Manning
Mr. Manning is Executive Chairman of MFS (the Funds’ investment adviser) and in this capacity heads its Board of Directors. He has substantial executive and investment management experience, having worked for MFS for 30 years.
Clarence Otis, Jr.
Mr. Otis has substantial executive, financial, and board experience at publicly-traded and privately-held companies. Mr. Otis was the Chairman and Chief Executive Officer of Darden Restaurants, Inc., the world’s largest full-service restaurant company, and he previously served in other senior positions at Darden Restaurants, including Chief Financial Officer and Executive Vice President. Mr. Otis is a director of VF Corporation and Verizon Communications, Inc. He is a former director of the Federal Reserve Bank of Atlanta. Mr. Otis currently serves on the boards of several non-profit organizations.
Maryanne L. Roepke
Ms. Roepke has substantial executive and compliance experience within the investment management industry. She was a Senior Vice President and the Chief Compliance Officer of American Century Investments, Inc. (“American Century”), where she worked for over 30 years. She currently is a trustee of Rockhurst University. She is a former member of the Investment Company Institute’s Chief Compliance Officer Committee and Risk Management Advisory Committee.
Robin A. Stelmach
Ms. Stelmach is Vice Chair of MFS (the Funds’ investment adviser). Previously she was Executive Vice President and Chief Operating Officer of MFS and oversaw the company’s Global Investment Technology and Global Investment & Client Support departments, as well as the MFS Service Center.
Laurie J. Thomsen
Ms. Thomsen has substantial venture capital financing experience, as well as board experience at publicly-traded and privately-held companies. Ms. Thomsen was a co-founding General Partner of Prism Venture Partners, a venture capital firm investing in healthcare and technology companies, and served as an Executive Partner of New Profit, Inc., a venture philanthropy firm. Prior to that, she was a General Partner at Harbourvest Partners, a venture capital firm. Ms. Thomsen is a director of The Travelers Companies, Inc. and Dycom Industries, Inc.
Information about each Fund, including information about its investment adviser, principal underwriter and administrator, Independent Registered Public Accounting Firm, executive officers, and the interests of certain persons appears under “Fund Information” below.
Required Vote
For each Trust, approval of this matter as to any nominee will require the affirmative vote of shares representing a plurality of the Trust’s voting power entitled to be cast at the Meeting that are present in person or by proxy. Shareholders of all Funds of each Trust will vote together as a single class on this Item 1.
The Board, including the Independent Trustees, unanimously recommends that the shareholders of the Funds vote to elect each of the nominees as Trustees of each Trust.
5
Committees
Each Trust’s Board meets regularly throughout the year to discuss matters and to take certain actions relating to the Trust. Each Trust’s Board has several standing committees, which are described below. See Schedule D for the number of meetings each standing committee held during each Fund’s last fiscal year.(1)
Name of Committee | Functions | Current Members(2), (4) | ||
AUDIT COMMITTEE | Oversees the accounting and auditing procedures of the Fund and, among other duties, considers the selection of the independent accountants for the Fund and the scope of the audit, and considers the effect on the independence of those accountants of any non-audit services such accountants provide to the Fund and any audit or non-audit services such accountants provide to other MFS Funds, MFS and/or certain affiliates. The Committee is also responsible for establishing procedures for the receipt, retention, and treatment of complaints received by the Fund regarding accounting, internal accounting controls, or auditing matters and the confidential, anonymous submission of concerns regarding questionable fund accounting matters by officers of the Fund and employees of the Fund’s investment adviser, administrator, principal underwriter, or any other provider of accounting-related services to the Fund. Reviews and evaluates the contractual arrangements of the Fund relating to custody and fund accounting services, and makes recommendations to the full Board of Trustees on these matters. | Buller*(3), Kavanaugh*(3), and Roepke*(3) | ||
COMPLIANCE COMMITTEE | Oversees the development and implementation of the Fund’s regulatory and fiduciary compliance policies, procedures, and practices under the 1940 Act, and other applicable laws, as well as oversight of compliance policies of the Fund’s investment adviser and certain other service providers as they relate to Fund activities. The Fund’s Chief Compliance Officer assists the Committee in carrying out its responsibilities. | Buller*, Kavanaugh* and Roepke* | ||
CONTRACTS REVIEW COMMITTEE | Requests, reviews, and considers the information deemed reasonably necessary to evaluate the terms of the investment advisory and principal underwriting agreements and the Plan of Distribution under Rule 12b-1 that each Fund proposes to renew or continue, and to make its recommendations to the full Board of Trustees on these matters. | All Independent Trustees of the Board (Buller, Goldfarb, Gunning, Hegarty, Kavanaugh, Roepke, and Thomsen) | ||
NOMINATION AND COMPENSATION COMMITTEE | Recommends qualified candidates to the Board in the event that a position is vacated or created. The Committee will consider recommendations by shareholders when a vacancy exists. Shareholders wishing to recommend candidates for Trustee for consideration by the Committee may do so by writing to the Fund’s Secretary at the principal executive office of the Fund. Such recommendations must be accompanied by biographical and occupational data on the candidate (including whether the candidate would be an “interested person” of the Fund), a written consent by the candidate to be named as a nominee and to serve as Trustee if elected, record and ownership information for the recommending shareholder with respect to the Fund, and a description of any arrangements or understandings regarding recommendation of the candidate for consideration. The Committee is also responsible for making recommendations to the Board regarding any necessary standards or qualifications for service on the Board. The Committee also reviews and makes recommendations to the Board regarding compensation for the Independent Trustees. | All Independent Trustees of the Board (Buller, Goldfarb, Gunning, Hegarty, Kavanaugh, Roepke, and Thomsen) | ||
PORTFOLIO TRADING AND MARKETING REVIEW COMMITTEE | Oversees the policies, procedures, and practices of the Fund with respect to brokerage transactions involving portfolio securities as those policies, procedures, and practices are carried out by MFS and its affiliates. The Committee also oversees the lending of portfolio securities, the Trust’s borrowing and lending policies, and the administration of the Fund’s proxy voting policies and procedures by MFS. The Committee also oversees the policies, procedures, and practices of the Applicable Fund Service Providers with respect to the selection and oversight of the Fund’s counterparties in derivatives, repurchase and reverse repurchase agreements, and similar investment-related transactions. In addition, the Committee receives reports from MFS regarding the policies, procedures, and practices of MFS and its affiliates in connection with their marketing and distribution of shares of the Fund. | All Independent Trustees of the Board (Buller, Goldfarb, Gunning, Hegarty, Kavanaugh, Roepke, and Thomsen) |
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Name of Committee | Functions | Current Members(2), (4) | ||
PRICING COMMITTEE | Oversees the determination of the value of the portfolio securities and other assets held by the Fund and determines or causes to be determined the fair value of securities and assets for which market quotations are not “readily available” in accordance with the 1940 Act. The Committee delegates primary responsibility for carrying out these functions to MFS and MFS’ internal valuation committee pursuant to pricing policies and procedures approved by the Committee and adopted by the full Board. These policies include methodologies to be followed by MFS in determining the fair values of portfolio securities and other assets held by the Fund for which market quotations are not readily available, and the Committee approves and/or ratifies these fair values. The Committee meets periodically with the members of MFS’ internal valuation committee to review and assess the quality of fair valuation and other pricing determinations made pursuant to the Fund’s pricing policies and procedures, and to review and assess the policies and procedures themselves. The Committee also exercises the responsibilities of the Board under the Amortized Cost Valuation Procedures approved by the Board on behalf of each Fund which holds itself out as a “money market fund” in accordance with Rule 2a-7 under the 1940 Act. The Committee also reviews and evaluates the contractual arrangements of service providers relating to the pricing and valuation of the Fund’s portfolio securities and other assets. | Goldfarb*, Hegarty* and Thomsen* | ||
SERVICES CONTRACTS COMMITTEE | Reviews and evaluates the contractual arrangements of the Fund relating to transfer agency, sub-transfer agency, and administrative services, and makes recommendations to the full Board of Trustees on these matters. | Goldfarb*, Hegarty*, and Thomsen* |
(1) | The Funds have different fiscal year ends. See Schedule B for a list of each fund’s fiscal year end. |
(2) | Information about each committee member is set forth above. Although Mr. Gunning is not a member of all Committees of the Board, he is invited to and attends many of the Committees’ meetings in his capacity as Chair of the Trustees. |
(3) | Audit Committee Financial Expert. |
(4) | Nominee Mr. Otis is expected to serve on the Audit Committee and Pricing Committee, and nominee Mr. Caroselli is expected to serve on the Compliance Committee and Services Contracts Committee. Both Messrs. Otis and Caroselli are also expected to serve on the Contracts Review Committee, Nomination and Compensation Committee, and the Portfolio Trading and Marketing Review Committee. |
* | Independent Trustees. |
The Trustees generally hold at least 8 regular meetings each calendar year. These regular meetings generally take place over a two-day period. The performance and operations of each of the Trusts is reviewed by the Trustees at each meeting and more in-depth reviews of particular Trusts are conducted by the Trustees throughout the year. The Board of Trustees of each Trust held 8 meetings during the calendar year ended December 31, 2016.Each Trustee attended at least 75% of the Board and applicable committee meetings noted for each Trust.
Nomination and Compensation Committee
The Trustees have adopted a written charter for the Nomination and Compensation Committee, a copy of which is included as Exhibit 1 to this Proxy Statement. The Trusts currently do not maintain a website on which the charter is available.
Each Trust’s Nomination and Compensation Committee consists only of Independent Trustees.
The Nomination and Compensation Committee requires that Trustee candidates have a college degree or equivalent business experience, but has not otherwise established specific, minimum qualifications that must be met by an individual to be considered by the Committee for nomination as a Trustee. The Nomination and Compensation Committee may take into account a wide variety of factors in considering Trustee candidates, including, but not limited to: (i) availability and commitment of a candidate to attend meetings and perform his or her responsibilities to the Board; (ii) relevant industry and related experience; (iii) educational background; (iv) financial expertise; (v) an assessment of the candidate’s ability, judgment and expertise; (vi) overall diversity of the composition of the Board; and (vii) such other factors as the Committee deems appropriate. While the Committee has not adopted a particular definition of diversity, when considering a nominee’s and the Board’s diversity, the Committee generally considers the manner in which each nominee’s professional experience, expertise in matters that are relevant to the oversight of the Funds (e.g., investment management, distribution, accounting, trading, compliance, legal), general leadership experience, and life experience (including with respect to gender and ethnicity) are complementary and, as a whole, contribute to the ability of the Board to oversee the Funds. The Nomination and Compensation Committee may consider candidates for Trustee recommended by each Trust’s current Trustees, officers or shareholders or by MFS or any other source deemed appropriate by the Nomination and Compensation Committee. The Nomination and Compensation Committee may, but is not required to, retain a third-party search firm at the applicable Trust’s expense to identify potential candidates.
The Nomination and Compensation Committee will review and consider nominees recommended by shareholders to serve as Trustee, provided that the recommending shareholder follows the Procedures for Shareholders to Submit Nominee Candidates, which are set forth as Appendix B to the Trusts’ Nomination and Compensation Committee Charter, attached to this Proxy Statement as Exhibit 1. Among other requirements, these procedures provide that the recommending shareholder must submit any recommendation in writing to the Trust, to the attention of the Trust’s Secretary, at the address of the principal executive offices of the
7
Trust. Any recommendation must include certain biographical information and other information regarding the candidate and the recommending shareholder, and must include a written and signed consent of the candidate to be named as a nominee and to serve as a Trustee if elected. The Nomination and Compensation Committee takes the diversity of a particular nominee and the overall diversity of the Board into account when considering and evaluating nominees for trustee. The foregoing description is only a summary.
The Nomination and Compensation Committee has full discretion to reject nominees recommended by shareholders, and there is no assurance that any such person properly recommended and considered by the Committee will be nominated for election to the Board of a Trust.
Share Ownership
Except as noted in the table below, as of November 30, 2016, the current Trustees, nominees and officers of each Trust represented in this proxy statement as a group owned less than 1% of the outstanding shares of any class of any Fund. Under the terms of the Board’s policy, each Independent Trustee is required to have invested on an aggregate basis, within two years of membership on the Board, an amount equal to his or her calendar year’s base retainer and meeting attendance fees in shares of the MFS Funds.
Name of Shareholder | Fund Name and Class of Shares | Number of Outstanding Shares Beneficially Owned | Percentage of Outstanding Shares of Noted Class Owned | |||||||
Robert J. Manning | MFS U.S. Government Money Market Fund | 9,000,000.0000 | 2.58 | % | ||||||
Robert J. Manning | Massachusetts Investors Growth Stock Fund-Class 529A | 7,022.2400 | 1.14 | % | ||||||
Robin A. Stelmach | MFS Limited Maturity Fund-Class I | 454,491.4730 | 1.18 | % |
The table below shows the dollar range of equity securities beneficially owned by each current Trustee and nominee on an aggregate basis, in all MFS Funds overseen, or to be overseen, by the current Trustee and nominee as of November 30, 2016. The tables in Schedule E show the dollar range of equity securities beneficially owned by each current Trustee and nominee in each Fund overseen or to be overseen, by the Trustee as of November 30, 2016.
The following dollar ranges apply to the table below:
N. | None |
A. | $1 – $10,000 |
B. | $10,001 – $50,000 |
C. | $50,001 – $100,000 |
D. | Over $100,000 |
Name of Trustees | Aggregate Dollar Range of Equity Securities in All MFS Funds Overseen or to be Overseen by the Nominee | |||
Interested Trustee Nominees | ||||
Robert J. Manning | D | |||
Robin A. Stelmach | D | |||
Independent Trustee Nominees | ||||
Steven E. Buller | D | |||
John A. Caroselli* | N | |||
Maureen R. Goldfarb | D | |||
David H. Gunning | D | |||
Michael Hegarty | D | |||
John P. Kavanaugh | D | |||
Clarence Otis, Jr.* | N | |||
Maryann L. Roepke | D | |||
Laurie J. Thomsen | D |
* | Did not serve on the Board as of November 30, 2016 and was not subject to the Board’s policy requiring each Independent Trustee to invest on an aggregate basis, within two years of membership on the Board, an amount equal to his or her calendar year’s base retainer and meeting attendance fees in shares of the MFS Funds |
8
Shareholder Communications with the Board of Trustees
The Board of Trustees of each Trust has adopted procedures by which shareholders may send communications to the Board. Shareholders may mail written communications to the Board of Trustees, [Name of Trust], c/o Massachusetts Financial Services Company, 111 Huntington Avenue, Boston, Massachusetts 02199, Attention: Frank Tarantino, Independent Senior Officer (“ISO”) of the Fund. Shareholder communications must (i) be in writing and be signed by the shareholder, (ii) identify the MFS Trust to which they relate and (iii) identify the class and number of shares held by the shareholder. The ISO is responsible for reviewing all properly submitted shareholder communications. The ISO shall either (i) provide a copy of each properly submitted shareholder communication to the Board at its next regularly scheduled meeting or (ii) if the ISO determines that the communication requires more immediate attention, forward the communication to the Chair of the Trustees promptly after receipt. The ISO may, in good faith, determine that a shareholder communication should not be provided to the Board because it is ministerial in nature (such as a request for Trust literature, share data or financial information). The ISO may in such cases forward the communication to the appropriate party or parties at MFS. These procedures do not apply to (i) any communication from an officer or Trustee of the Trust, (ii) any communication from an employee or agent of the Trust, unless such communication is made solely in such employee’s or agent’s capacity as a shareholder or (iii) any shareholder proposal submitted pursuant to Rule l4a-8 under the Securities Exchange Act of 1934, as amended, or any communication made in connection with such a proposal. Each Trust’s Trustees are not required to attend the Trust’s shareholder meetings or to otherwise make themselves available to shareholders for communications, other than pursuant to the aforementioned procedures.
Each Trust’s Declaration of Trust currently provides that the Trust will indemnify its Trustees and officers against liabilities and expenses incurred in connection with litigation in which they may be involved because of their offices with the Trust, unless it is finally adjudicated or, in case of a settlement, it has been determined by Trustees not involved in the matter or independent legal counsel, that they have not acted in good faith in the reasonable belief that their actions were in the best interests of the Trust or that they engaged in willful misfeasance or acted with bad faith, gross negligence or reckless disregard of the duties involved in the conduct of their offices.
Trustee Compensation Table
The tables below show (i) the cash compensation paid to the Trustees by each Fund for its most recently completed fiscal year and (ii) the total cash compensation received by each Trustee from the MFS fund complex for calendar year 2016. Interested Trustees receive no compensation from the Funds for their services as Trustees. The table includes information for Messrs. Robert Butler, William Gutow and Robert Uek, each of whom retired effective December 31, 2016 under the Board’s mandatory retirement policy. This table does not include information for Messrs. Caroselli and Otis because they did not serve as a Trustee of the Board during any Fund’s recently completed fiscal year or during the calendar year 2016.
Compensation with respect to Funds with a fiscal year end of January 31, 2016:
Name and Position | ||||||||||||||||||||||||||||||||||||||||||||
Interested Trustees | Independent Trustees | |||||||||||||||||||||||||||||||||||||||||||
Aggregate Compensation | Robert J. Manning | Robin A. Stelmach | Steven E. Buller | Robert E. Butler* | Maureen R. Goldfarb | David H. Gunning | William R. Gutow* | Michael Hegarty | John P. Kavanaugh | Maryanne L. Roepke | Laurie J. Thomsen | Robert W. Uek* | ||||||||||||||||||||||||||||||||
MFS Global High Yield Fund | Not Applicable | Not Applicable | $1,544 | $1,568 | $1,566 | $1,686 | $1,544 | $1,566 | $1,546 | $1,546 | $1,568 | $1,582 | ||||||||||||||||||||||||||||||||
MFS High Income Fund | Not Applicable | Not Applicable | $2,447 | $2,517 | $2,510 | $2,856 | $2,447 | $2,510 | $2,454 | $2,454 | $2,517 | $2,556 | ||||||||||||||||||||||||||||||||
MFS High Yield Pooled Portfolio | Not Applicable | Not Applicable | $0 | $0 | $0 | $0 | $0 | $0 | $0 | $0 | $0 | $0 | ||||||||||||||||||||||||||||||||
MFS Municipal High Income Fund | Not Applicable | Not Applicable | $4,206 | $4,356 | $4,343 | $5,102 | $4,205 | $4,343 | $4,218 | $4,218 | $4,356 | $4,442 | ||||||||||||||||||||||||||||||||
Retirement Benefits Accrued as Part of Fund Expense | Not Applicable | Not Applicable | | Not Applicable | | | Not Applicable | | | Not Applicable | | | Not Applicable | | | Not Applicable | | | Not Applicable | | | Not Applicable | | | Not Applicable | | | Not Applicable | | | Not Applicable | |
* | Messrs. Butler, Gutow and Uek retired as Trustees of the Fund on December 31, 2016. |
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Compensation with respect to Funds with a fiscal year end of February 29, 2016:
Name and Position | ||||||||||||||||||||||||||||||||||||||||||||
Interested Trustees | Independent Trustees | |||||||||||||||||||||||||||||||||||||||||||
Aggregate Compensation | Robert J. Manning | Robin A. Stelmach | Steven E. Buller | Robert E. Butler* | Maureen R. Goldfarb | David H. Gunning | William R. Gutow* | Michael Hegarty | John P. Kavanaugh | Maryanne L. Roepke | Laurie J. Thomsen | Robert W. Uek* | ||||||||||||||||||||||||||||||||
MFS Diversified Income Fund | Not Applicable | Not Applicable | $4,280 | $4,419 | $4,419 | $5,185 | $4,280 | $4,419 | $4,280 | $4,280 | $4,419 | $4,506 | ||||||||||||||||||||||||||||||||
MFS Government Securities Fund | Not Applicable | Not Applicable | $4,145 | $4,240 | $4,240 | $4,766 | $4,145 | $4,240 | $4,145 | $4,145 | $4,240 | $4,300 | ||||||||||||||||||||||||||||||||
MFS New Discovery Value Fund | Not Applicable | Not Applicable | $943 | $959 | $959 | $1,050 | $943 | $959 | $943 | $943 | $959 | $969 | ||||||||||||||||||||||||||||||||
Retirement Benefits Accrued as Part of Fund Expense | Not Applicable | Not Applicable | | Not Applicable | | | Not Applicable | | | Not Applicable | | | Not Applicable | | | Not Applicable | | | Not Applicable | | | Not Applicable | | | Not Applicable | | | Not Applicable | | | Not Applicable | |
* | Messrs. Butler, Gutow and Uek retired as Trustees of the Fund on December 31, 2016. |
Compensation with respect to Funds with a fiscal year end of March 31, 2016:
Name and Position | ||||||||||||||||||||||||||||||||||||||||||||
Interested Trustees | Independent Trustees | |||||||||||||||||||||||||||||||||||||||||||
Aggregate Compensation | Robert J. Manning | Robin A. Stelmach | Steven E. Buller | Robert E. Butler* | Maureen R. Goldfarb | David H. Gunning | William R. Gutow* | Michael Hegarty | John P. Kavanaugh | Maryanne L. Roepke | Laurie J. Thomsen | Robert W. Uek* | ||||||||||||||||||||||||||||||||
MFS Alabama Municipal Bond Fund | Not Applicable | Not Applicable | $277 | $279 | $279 | $291 | $276 | $279 | $277 | $277 | $279 | $280 | ||||||||||||||||||||||||||||||||
MFS Arkansas Municipal Bond Fund | Not Applicable | Not Applicable | $469 | $478 | $476 | $517 | $469 | $476 | $470 | $470 | $477 | $481 | ||||||||||||||||||||||||||||||||
MFS California Municipal Bond Fund | Not Applicable | Not Applicable | $933 | $947 | $944 | $1,015 | $931 | $944 | $934 | $934 | $946 | $952 | ||||||||||||||||||||||||||||||||
MFS Georgia Municipal Bond Fund | Not Applicable | Not Applicable | $278 | $280 | $280 | $294 | $277 | $280 | $278 | $278 | $280 | $282 | ||||||||||||||||||||||||||||||||
MFS Maryland Municipal Bond Fund | Not Applicable | Not Applicable | $281 | $285 | $285 | $305 | $281 | $285 | $282 | $282 | $285 | $287 | ||||||||||||||||||||||||||||||||
MFS Massachusetts Municipal Bond Fund | Not Applicable | Not Applicable | $923 | $934 | $932 | $987 | $922 | $932 | $924 | $924 | $933 | $938 | ||||||||||||||||||||||||||||||||
MFS Mississippi Municipal Bond Fund | Not Applicable | Not Applicable | $281 | $285 | $285 | $305 | $281 | $285 | $282 | $282 | $285 | $287 | ||||||||||||||||||||||||||||||||
MFS Municipal Income Fund | Not Applicable | Not Applicable | $4,153 | $4,258 | $4,239 | $4,763 | $4,143 | $4,239 | $4,162 | $4,162 | $4,248 | $4,298 | ||||||||||||||||||||||||||||||||
MFS New York Municipal Bond Fund | Not Applicable | Not Applicable | $473 | $483 | $481 | $528 | $472 | $481 | $474 | $474 | $482 | $486 | ||||||||||||||||||||||||||||||||
MFS North Carolina Municipal Bond Fund | Not Applicable | Not Applicable | $939 | $956 | $952 | $1,034 | $938 | $952 | $941 | $941 | $954 | $962 | ||||||||||||||||||||||||||||||||
MFS Pennsylvania Municipal Bond Fund | Not Applicable | Not Applicable | $462 | $468 | $467 | $495 | $462 | $467 | $463 | $463 | $467 | $470 | ||||||||||||||||||||||||||||||||
MFS South Carolina Municipal Bond Fund | Not Applicable | Not Applicable | $470 | $479 | $477 | $519 | $469 | $477 | $471 | $471 | $478 | $482 | ||||||||||||||||||||||||||||||||
MFS Tennessee Municipal Bond Fund | Not Applicable | Not Applicable | $460 | $465 | $464 | $489 | $460 | $464 | $461 | $461 | $465 | $467 | ||||||||||||||||||||||||||||||||
MFS Virginia Municipal Bond Fund | Not Applicable | Not Applicable | $930 | $944 | $941 | $1,008 | $929 | $941 | $932 | $932 | $943 | $949 | ||||||||||||||||||||||||||||||||
MFS West Virginia Municipal Bond Fund | Not Applicable | Not Applicable | $463 | $469 | $468 | $497 | $462 | $468 | $463 | $463 | $468 | $471 | ||||||||||||||||||||||||||||||||
Retirement Benefits Accrued as Part of Fund Expense | Not Applicable | Not Applicable | | Not Applicable | | | Not Applicable | | | Not Applicable | | | Not Applicable | | | Not Applicable | | | Not Applicable | | | Not Applicable | | | Not Applicable | | | Not Applicable | | | Not Applicable | |
* | Messrs. Butler, Gutow and Uek retired as Trustees of the Fund on December 31, 2016. |
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Compensation with respect to Funds with a fiscal year end of April 30, 2016:
Name and Position | ||||||||||||||||||||||||||||||||||||||||||||
Interested Trustees | Independent Trustees | |||||||||||||||||||||||||||||||||||||||||||
Aggregate Compensation | Robert J. Manning | Robin A. Stelmach | Steven E. Buller | Robert E. Butler | Maureen R. Goldfarb | David H. Gunning | William R. Gutow | Michael Hegarty | John P. Kavanaugh | Maryanne L. Roepke | Laurie J. Thomsen | Robert W. Uek | ||||||||||||||||||||||||||||||||
MFS Corporate Bond Fund | Not Applicable | Not Applicable | $4,301 | $4,437 | $4,412 | $5,093 | $4,288 | $4,412 | $4,313 | $4,313 | $4,424 | $4,489 | ||||||||||||||||||||||||||||||||
MFS Lifetime 2020 Fund | Not Applicable | Not Applicable | $955 | $972 | $969 | $1,055 | $953 | $969 | $956 | $956 | $970 | $979 | ||||||||||||||||||||||||||||||||
MFS Lifetime 2025 Fund | Not Applicable | Not Applicable | $471 | $478 | $476 | $509 | $471 | $476 | $472 | $472 | $477 | $480 | ||||||||||||||||||||||||||||||||
MFS Lifetime 2030 Fund | Not Applicable | Not Applicable | $962 | $982 | $978 | $1,077 | $960 | $978 | $964 | $964 | $980 | $989 | ||||||||||||||||||||||||||||||||
MFS Lifetime 2035 Fund | Not Applicable | Not Applicable | $337 | $342 | $341 | $368 | $337 | $341 | $338 | $338 | $342 | $345 | ||||||||||||||||||||||||||||||||
MFS Lifetime 2040 Fund | Not Applicable | Not Applicable | $948 | $963 | $961 | $1,036 | $947 | $961 | $950 | $950 | $962 | $969 | ||||||||||||||||||||||||||||||||
MFS Lifetime 2045 Fund | Not Applicable | Not Applicable | $171 | $175 | $174 | $190 | $171 | $174 | $172 | $172 | $174 | $176 | ||||||||||||||||||||||||||||||||
MFS Lifetime 2050 Fund | Not Applicable | Not Applicable | $335 | $340 | $339 | $363 | $335 | $339 | $336 | $336 | $340 | $342 | ||||||||||||||||||||||||||||||||
MFS Lifetime 2055 Fund | Not Applicable | Not Applicable | $122 | $123 | $123 | $126 | $122 | $123 | $123 | $123 | $123 | $123 | ||||||||||||||||||||||||||||||||
MFS Lifetime 2060 Fund1 | Not Applicable | Not Applicable | $33 | $33 | $33 | $33 | $33 | $33 | $33 | $33 | $33 | $33 | ||||||||||||||||||||||||||||||||
MFS Lifetime Income Fund | Not Applicable | Not Applicable | $1,147 | $1,173 | $1,169 | $1,298 | $1,145 | $1,169 | $1,150 | $1,150 | $1,171 | $1,183 | ||||||||||||||||||||||||||||||||
MFS Limited Maturity Fund | Not Applicable | Not Applicable | $3,116 | $3,186 | $3,173 | $3,525 | $3,109 | $3,173 | $3,122 | $3,122 | $3,180 | $3,213 | ||||||||||||||||||||||||||||||||
MFS Municipal Limited Maturity Fund | Not Applicable | Not Applicable | $3,127 | $3,201 | $3,188 | $3,560 | $3,120 | $3,188 | $3,133 | $3,133 | $3,194 | $3,230 | ||||||||||||||||||||||||||||||||
MFS Total Return Bond Fund | Not Applicable | Not Applicable | $4,541 | $4,759 | $4,718 | $5,809 | $4,520 | $4,718 | $4,561 | $4,561 | $4,738 | $4,842 | ||||||||||||||||||||||||||||||||
Retirement Benefits Accrued as Part of Fund Expense1 | Not Applicable | Not Applicable | | Not Applicable | | | Not Applicable | | | Not Applicable | | | Not Applicable | | | Not Applicable | | | Not Applicable | | | Not Applicable | | | Not Applicable | | | Not Applicable | | | Not Applicable | |
1 | Estimated amounts for the fiscal year ended April 30, 2017. |
* | Messrs. Butler, Gutow and Uek retired as Trustees of the Fund on December 31, 2016. |
Compensation with respect to Funds with a fiscal year end of May 31, 2016:
Name and Position | ||||||||||||||||||||||||||||||||||||||||||||
Interested Trustees | Independent Trustees | |||||||||||||||||||||||||||||||||||||||||||
Aggregate Compensation | Robert J. Manning | Robin A. Stelmach | Steven E. Buller | Robert E. Butler* | Maureen R. Goldfarb | David H. Gunning | William R. Gutow* | Michael Hegarty | John P. Kavanaugh | Maryanne L. Roepke | Laurie J. Thomsen | Robert W. Uek* | ||||||||||||||||||||||||||||||||
MFS Absolute Return Fund | Not Applicable | Not Applicable | $946 | $957 | $955 | $1,005 | $945 | $955 | $947 | $947 | $955 | $960 | ||||||||||||||||||||||||||||||||
MFS Aggressive Growth Allocation Fund | Not Applicable | Not Applicable | $3,407 | $3,489 | $3,474 | $3,878 | $3,400 | $3,474 | $3,414 | $3,414 | $3,482 | $3,520 | ||||||||||||||||||||||||||||||||
MFS Blended Research Growth Equity Fund1 | Not Applicable | Not Applicable | $131 | $131 | $131 | $132 | $131 | $131 | $131 | $131 | $131 | $131 | ||||||||||||||||||||||||||||||||
MFS Blended Research Mid Cap Equity Fund1 | Not Applicable | Not Applicable | $192 | $194 | $194 | $208 | $192 | $194 | $192 | $192 | $194 | $196 | ||||||||||||||||||||||||||||||||
MFS Blended Research Small Cap Equity Fund1 | Not Applicable | Not Applicable | $131 | $131 | $131 | $132 | $131 | $131 | $131 | $131 | $131 | $131 | ||||||||||||||||||||||||||||||||
MFS Blended Research Value Equity Fund1 | Not Applicable | Not Applicable | $131 | $131 | $131 | $132 | $131 | $131 | $131 | $131 | $131 | $131 |
11
Name and Position | ||||||||||||||||||||||||||||||||||||||||||||
Interested Trustees | Independent Trustees | |||||||||||||||||||||||||||||||||||||||||||
Aggregate Compensation | Robert J. Manning | Robin A. Stelmach | Steven E. Buller | Robert E. Butler* | Maureen R. Goldfarb | David H. Gunning | William R. Gutow* | Michael Hegarty | John P. Kavanaugh | Maryanne L. Roepke | Laurie J. Thomsen | Robert W. Uek* | ||||||||||||||||||||||||||||||||
MFS Conservative Allocation Fund | Not Applicable | Not Applicable | $4,386 | $4,532 | $4,505 | $5,236 | $4,372 | $4,505 | $4,399 | $4,399 | $4,518 | $4,588 | ||||||||||||||||||||||||||||||||
MFS Emerging Markets Equity Fund | Not Applicable | Not Applicable | $1,648 | $1,684 | $1,677 | $1,857 | $1,645 | $1,677 | $1,651 | $1,651 | $1,681 | $1,698 | ||||||||||||||||||||||||||||||||
MFS Growth Allocation Fund | Not Applicable | Not Applicable | $9,174 | $9,425 | $9,380 | $10,636 | $9,151 | $9,380 | $9,197 | $9,197 | $9,403 | $9,523 | ||||||||||||||||||||||||||||||||
MFS International Diversification Fund | Not Applicable | Not Applicable | $4,592 | $4,810 | $4,771 | $5,859 | $4,572 | $4,771 | $4,612 | $4,612 | $4,790 | $4,894 | ||||||||||||||||||||||||||||||||
MFS International Growth Fund | Not Applicable | Not Applicable | $4,525 | $4,719 | $4,684 | $5,657 | $4,507 | $4,684 | $4,543 | $4,543 | $4,702 | $4,795 | ||||||||||||||||||||||||||||||||
MFS International Value Fund | Not Applicable | Not Applicable | $17,528 | $18,750 | $18,526 | $24,630 | $17,415 | $18,526 | $17,641 | $17,641 | $18,639 | $19,220 | ||||||||||||||||||||||||||||||||
MFS Managed Wealth Fund | Not Applicable | Not Applicable | $192 | $195 | $195 | $208 | $192 | $195 | $193 | $193 | $195 | $196 | ||||||||||||||||||||||||||||||||
MFS Moderate Allocation Fund | Not Applicable | Not Applicable | $9,331 | $9,636 | $9,581 | $11,106 | $9,303 | $9,581 | $9,359 | $9,359 | $9,608 | $9,754 | ||||||||||||||||||||||||||||||||
Retirement Benefits Accrued as Part of Fund Expense | Not Applicable | Not Applicable | | Not Applicable | | | Not Applicable | | | Not Applicable | | | Not Applicable | | | Not Applicable | | | Not Applicable | | | Not Applicable | | | Not Applicable | | | Not Applicable | | | Not Applicable | |
1 | Estimated amounts for the fiscal year ended May 31, 2017. |
* | Messrs. Butler, Gutow and Uek retired as Trustees of the Fund on December 31, 2016. |
Compensation with respect to Funds with a fiscal year end of June 30, 2016:
Name and Position | ||||||||||||||||||||||||||||||||||||||||||||
Interested Trustees | Independent Trustees | |||||||||||||||||||||||||||||||||||||||||||
Aggregate Compensation | Robert J. Manning | Robin A. Stelmach | Steven E. Buller | Robert E. Butler | Maureen R. Goldfarb | David H. Gunning | William R. Gutow | Michael Hegarty | John P. Kavanaugh | Maryanne L. Roepke | Laurie J. Thomsen | Robert W. Uek | ||||||||||||||||||||||||||||||||
MFS Global Multi-Asset Fund | Not Applicable | Not Applicable | $127 | $129 | $128 | $134 | $127 | $128 | $127 | $128 | $127 | $129 | ||||||||||||||||||||||||||||||||
MFS Institutional International Equity Fund | Not Applicable | Not Applicable | $9,626 | $9,991 | $9,925 | $11,751 | $9,592 | $9,925 | $9,659 | $9,659 | $9,958 | $10,132 | ||||||||||||||||||||||||||||||||
Retirement Benefits Accrued as Part of Fund Expense | Not Applicable | Not Applicable | | Not Applicable | | | Not Applicable | | | Not Applicable | | | Not Applicable | | | Not Applicable | | | Not Applicable | | | Not Applicable | | | Not Applicable | | | Not Applicable | | | Not Applicable | |
* | Messrs. Butler, Gutow and Uek retired as Trustees of the Fund on December 31, 2016. |
Compensation with respect to Funds with a fiscal year end of July 31, 2016:
Name and Position | ||||||||||||||||||||||||||||||||||||||||||||
Interested Trustees | Independent Trustees | |||||||||||||||||||||||||||||||||||||||||||
Aggregate Compensation | Robert J. Manning | Robin A. Stelmach | Steven E. Buller | Robert E. Butler* | Maureen R. Goldfarb | David H. Gunning | William R. Gutow* | Michael Hegarty | John P. Kavanaugh | Maryanne L. Roepke | Laurie J. Thomsen | Robert W. Uek* | ||||||||||||||||||||||||||||||||
MFS Emerging Markets Debt Fund | Not Applicable | Not Applicable | $6,311 | $6,515 | $6,442 | $7,461 | $6,256 | $6,442 | $6,312 | $6,330 | $6,461 | $6,558 | ||||||||||||||||||||||||||||||||
MFS Equity Income Fun | Not Applicable | Not Applicable | $428 | $435 | $433 | $468 | $426 | $433 | $428 | $429 | $433 | $437 | ||||||||||||||||||||||||||||||||
Retirement Benefits Accrued as Part of Fund Expense | Not Applicable | Not Applicable | | Not Applicable | | | Not Applicable | | | Not Applicable | | | Not Applicable | | | Not Applicable | | | Not Applicable | | | Not Applicable | | | Not Applicable | | | Not Applicable | | | Not Applicable | |
* | Messrs. Butler, Gutow and Uek retired as Trustees of the Fund on December 31, 2016. |
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Compensation with respect to Funds with a fiscal year end of August 31, 2016:
Name and Position | ||||||||||||||||||||||||||||||||||||||||||||
Interested Trustees | Independent Trustees | |||||||||||||||||||||||||||||||||||||||||||
Aggregate Compensation | Robert J. Manning | Robin A. Stelmach | Steven E. Buller | Robert E. Butler* | Maureen R. Goldfarb | David H. Gunning | William R. Gutow* | Michael Hegarty | John P. Kavanaugh | Maryanne L. Roepke | Laurie J. Thomsen | Robert W. Uek* | ||||||||||||||||||||||||||||||||
MFS Blended Research Emerging Markets Equity Fund1 | Not Applicable | Not Applicable | $131 | $132 | $132 | $133 | $131 | $132 | $131 | $131 | $132 | $132 | ||||||||||||||||||||||||||||||||
MFS Blended Research Global Equity Fund1 | Not Applicable | Not Applicable | $131 | $132 | $132 | $133 | $131 | $132 | $131 | $131 | $132 | $132 | ||||||||||||||||||||||||||||||||
MFS Blended Research International Equity Fund1 | Not Applicable | Not Applicable | $131 | $132 | $132 | $133 | $131 | $132 | $131 | $131 | $132 | $132 | ||||||||||||||||||||||||||||||||
MFS Core Equity Fund | Not Applicable | Not Applicable | $2,623 | $2,687 | $2,662 | $2,981 | $2,604 | $2,662 | $2,622 | $2,629 | $2,668 | $2,699 | ||||||||||||||||||||||||||||||||
MFS Global New Discovery Fund | Not Applicable | Not Applicable | $129 | $131 | $130 | $136 | $129 | $130 | $129 | $130 | $130 | $131 | ||||||||||||||||||||||||||||||||
MFS Global Real Estate Fund | Not Applicable | Not Applicable | $1,014 | $1,037 | $1,029 | $1,144 | $1,008 | $1,029 | $1,014 | $1,016 | $1,031 | $1,042 | ||||||||||||||||||||||||||||||||
MFS Low Volatility Equity Fund | Not Applicable | Not Applicable | $131 | $133 | $132 | $141 | $131 | $132 | $131 | $131 | $132 | $133 | ||||||||||||||||||||||||||||||||
MFS Low Volatility Global Equity Fund | Not Applicable | Not Applicable | $133 | $136 | $135 | $147 | $133 | $135 | $133 | $134 | $135 | $136 | ||||||||||||||||||||||||||||||||
MFS Mid Cap Growth Fund | Not Applicable | Not Applicable | $3,539 | $3,628 | $3,595 | $4,041 | $3,514 | $3,595 | $3,538 | $3,547 | $3,603 | $3,646 | ||||||||||||||||||||||||||||||||
MFS New Discovery Fund | Not Applicable | Not Applicable | $2,897 | $2,956 | $2,935 | $3,227 | $2,882 | $2,935 | $2,898 | $2,902 | $2,941 | $2,968 | ||||||||||||||||||||||||||||||||
MFS Research International Fund | Not Applicable | Not Applicable | $9,681 | $10,006 | $9,890 | $11,511 | $9,595 | $9,890 | $9,684 | $9,712 | $9,920 | $10,074 | ||||||||||||||||||||||||||||||||
MFS Technology Fund | Not Applicable | Not Applicable | $1,013 | $1,035 | $1,026 | $1,138 | $1,006 | $1,026 | $1,012 | $1,015 | $1,028 | $1,039 | ||||||||||||||||||||||||||||||||
MFS U.S. Government Cash Reserve Fund | Not Applicable | Not Applicable | $992 | $1,007 | $1,002 | $1,080 | $987 | $1,002 | $992 | $993 | $1,003 | $1,010 | ||||||||||||||||||||||||||||||||
MFS U.S. Government Money Market Fund | Not Applicable | Not Applicable | $995 | $1,013 | $1,007 | $1,092 | $991 | $1,007 | $996 | $997 | $1,008 | $1,016 | ||||||||||||||||||||||||||||||||
MFS Value Fund | Not Applicable | Not Applicable | $19,722 | $21,449 | $20,813 | $29,464 | $19,237 | $20,813 | $19,711 | $19,876 | $20,966 | $21,796 | ||||||||||||||||||||||||||||||||
Retirement Benefits Accrued as Part of Fund Expense | Not Applicable | Not Applicable | | Not Applicable | | | Not Applicable | | | Not Applicable | | | Not Applicable | | | Not Applicable | | | Not Applicable | | | Not Applicable | | | Not Applicable | | | Not Applicable | | | Not Applicable | |
1 | Estimated amounts for the fiscal year ended August 31, 2017. |
* | Messrs. Butler, Gutow and Uek retired as Trustees of the Fund on December 31, 2016. |
Compensation with respect to Funds with a fiscal year end of September 30, 2016:
Name and Position | ||||||||||||||||||||||||||||||||||||||||||||
Interested Trustees | Independent Trustees | |||||||||||||||||||||||||||||||||||||||||||
Aggregate Compensation Paid by | Robert J. Manning | Robin A. Stelmach | Steven E. Buller | Robert E. Butler* | Maureen R. Goldfarb | David H. Gunning | William R. Gutow* | Michael Hegarty | John P. Kavanaugh | Maryanne L. Roepke | Laurie J. Thomsen | Robert W. Uek* | ||||||||||||||||||||||||||||||||
MFS Blended Research Core Equity Fund | Not Applicable | Not Applicable | $1,751 | $1,796 | $1,780 | $2,009 | $1,738 | $1,780 | $1,750 | $1,754 | $1,783 | $1,806 | ||||||||||||||||||||||||||||||||
MFS International New Discovery Fund | Not Applicable | Not Applicable | $4,825 | $5,053 | $4,971 | $6,101 | $4,765 | $4,971 | $4,828 | $4,847 | $4,993 | $5,099 | ||||||||||||||||||||||||||||||||
MFS Mid Cap Value Fund | Not Applicable | Not Applicable | $4,803 | $5,019 | $4,940 | $6,034 | $4,741 | $4,940 | $4,798 | $4,820 | $4,958 | $5,065 | ||||||||||||||||||||||||||||||||
MFS Research Fund | Not Applicable | Not Applicable | $4,844 | $5,077 | $4,991 | $6,151 | $4,780 | $4,991 | $4,845 | $4,866 | $5,013 | $5,123 |
13
Name and Position | ||||||||||||||||||||||||||||||||||||||||||||
Interested Trustees | Independent Trustees | |||||||||||||||||||||||||||||||||||||||||||
Aggregate Compensation | Robert J. Manning | Robin A. Stelmach | Steven E. Buller | Robert E. Butler* | Maureen R. Goldfarb | David H. Gunning | William R. Gutow* | Michael Hegarty | John P. Kavanaugh | Maryanne L. Roepke | Laurie J. Thomsen | Robert W. Uek* | ||||||||||||||||||||||||||||||||
MFS Total Return Fund | Not Applicable | Not Applicable | $9,860 | $10,202 | $10,078 | $11,790 | $9,766 | $10,078 | $9,859 | $9,891 | $10,108 | $10,272 | ||||||||||||||||||||||||||||||||
Retirement Benefits Accrued as Part of Fund Expense | Not Applicable | Not Applicable | | Not Applicable | | | Not Applicable | | | Not Applicable | | | Not Applicable | | | Not Applicable | | | Not Applicable | | | Not Applicable | | | Not Applicable | | | Not Applicable | | | Not Applicable | |
* | Messrs. Butler, Gutow and Uek retired as Trustees of the Fund on December 31, 2016. |
Compensation with respect to Funds with a fiscal year end of October 31, 2016:
Name and Position | ||||||||||||||||||||||||||||||||||||||||||||
Interested Trustees | Independent Trustees | |||||||||||||||||||||||||||||||||||||||||||
Aggregate Compensation | Robert J. Manning | Robin A. Stelmach | Steven E. Buller | Robert E. Butler* | Maureen R. Goldfarb | David H. Gunning | William R. Gutow* | Michael Hegarty | John P. Kavanaugh | Maryanne L. Roepke | Laurie J. Thomsen | Robert W. Uek* | ||||||||||||||||||||||||||||||||
MFS Commodity Strategy Fund | Not Applicable | Not Applicable | $1,499 | $1,523 | $1,513 | $1,632 | $1,491 | $1,513 | $1,499 | $1,501 | $1,515 | $1,527 | ||||||||||||||||||||||||||||||||
MFS Emerging Markets Debt Local Currency Fund | Not Applicable | Not Applicable | $889 | $903 | $897 | $965 | $885 | $897 | $889 | $890 | $898 | $905 | ||||||||||||||||||||||||||||||||
MFS Equity Opportunities Fund | Not Applicable | Not Applicable | $984 | $1,004 | $996 | $1,096 | $978 | $996 | $984 | $986 | $998 | $1,007 | ||||||||||||||||||||||||||||||||
MFS Global Alternative Strategy Fund | Not Applicable | Not Applicable | $1,446 | $1,477 | $1,464 | $1,617 | $1,436 | $1,464 | $1,446 | $1,449 | $1,468 | $1,481 | ||||||||||||||||||||||||||||||||
MFS Global Equity Fund | Not Applicable | Not Applicable | $3,947 | $4,041 | $4,003 | $4,470 | $3,918 | $4,003 | $3,946 | $3,956 | $4,012 | $4,056 | ||||||||||||||||||||||||||||||||
MFS Global Growth Fund | Not Applicable | Not Applicable | $875 | $884 | $880 | $926 | $872 | $880 | $875 | $876 | $881 | $885 | ||||||||||||||||||||||||||||||||
MFS Global Total Return Fund | Not Applicable | Not Applicable | $2,397 | $2,468 | $2,439 | $2,792 | $2,375 | $2,439 | $2,396 | $2,404 | $2,446 | $2,479 | ||||||||||||||||||||||||||||||||
MFS Inflation-Adjusted Bond Fund | Not Applicable | Not Applicable | $2,341 | $2,394 | $2,372 | $2,635 | $2,325 | $2,372 | $2,341 | $2,347 | $2,378 | $2,402 | ||||||||||||||||||||||||||||||||
MFS Strategic Income Fund | Not Applicable | Not Applicable | $886 | $899 | $894 | $957 | $882 | $894 | $886 | $887 | $895 | $901 | ||||||||||||||||||||||||||||||||
MFS Utilities Fund | Not Applicable | Not Applicable | $4,793 | $4,987 | $4,907 | $5,867 | $4,733 | $4,907 | $4,793 | $4,813 | $4,927 | $5,016 | ||||||||||||||||||||||||||||||||
Retirement Benefits Accrued as Part of Fund Expense | Not Applicable | Not Applicable | | Not Applicable | | | Not Applicable | | | Not Applicable | | | Not Applicable | | | Not Applicable | | | Not Applicable | | | Not Applicable | | | Not Applicable | | | Not Applicable | | | Not Applicable | |
* | Messrs. Butler, Gutow and Uek retired as Trustees of the Fund on December 31, 2016. |
Compensation with respect to Funds with a fiscal year end of November 30, 2016:
Name and Position | ||||||||||||||||||||||||||||||||||||||||||||
Interested Trustees | Independent Trustees | |||||||||||||||||||||||||||||||||||||||||||
Aggregate Compensation | Robert J. Manning | Robin A. Stelmach | Steven E. Buller | Robert E. Butler* | Maureen R. Goldfarb | David H. Gunning | William R. Gutow* | Michael Hegarty | John P. Kavanaugh | Maryanne L. Roepke | Laurie J. Thomsen | Robert W. Uek* | ||||||||||||||||||||||||||||||||
Massachusetts Investors Growth Stock Fund | Not Applicable | Not Applicable | $9,895 | $10,212 | $10,095 | $11,669 | $9,808 | $10,095 | $9,897 | $9,925 | $10,125 | $10,274 | ||||||||||||||||||||||||||||||||
MFS Global Bond Fund | Not Applicable | Not Applicable | $1,729 | $1,761 | $1,749 | $1,908 | $1,720 | $1,749 | $1,729 | $1,732 | $1,752 | $1,767 | ||||||||||||||||||||||||||||||||
MFS Growth Fund | Not Applicable | Not Applicable | $11,465 | $12,041 | $11,832 | $14,707 | $11,308 | $11,832 | $11,466 | $11,518 | $11,885 | $12,159 | ||||||||||||||||||||||||||||||||
Retirement Benefits Accrued as Part of Fund Expense | Not Applicable | Not Applicable | | Not Applicable | | | Not Applicable | | | Not Applicable | | | Not Applicable | | | Not Applicable | | | Not Applicable | | | Not Applicable | | | Not Applicable | | | Not Applicable | | | Not Applicable | |
* | Messrs. Butler, Gutow and Uek retired as Trustees of the Fund on December 31, 2016. |
14
Compensation with respect to Funds with a fiscal year end of December 31, 2016:
Name and Position | ||||||||||||||||||||||||||||||||||||||||||||
Interested Trustees | Independent Trustees | |||||||||||||||||||||||||||||||||||||||||||
Aggregate Compensation | Robert J. Manning | Robin A. Stelmach | Steven E. Buller | Robert E. Butler* | Maureen R. Goldfarb | David H. Gunning | William R. Gutow* | Michael Hegarty | John P. Kavanaugh | Maryanne L. Roepke | Laurie J. Thomsen | Robert W. Uek* | ||||||||||||||||||||||||||||||||
Massachusetts Investors Trust | Not Applicable | Not Applicable | $9,973 | $10,270 | $10,129 | $11,583 | $9,864 | $10,129 | $9,979 | $10,005 | $10,161 | $10,294 | ||||||||||||||||||||||||||||||||
Retirement Benefits Accrued as Part of Fund Expense | Not Applicable | Not Applicable | | Not Applicable | | | Not Applicable | | | Not Applicable | | | Not Applicable | | | Not Applicable | | | Not Applicable | | | Not Applicable | | | Not Applicable | | | Not Applicable | | | Not Applicable | |
* | Messrs. Butler, Gutow and Uek retired as Trustees of the Fund on December 31, 2016. |
Total cash compensation received by each Trustee from the MFS fund complex for calendar year 2016 is as follows:
Name and Position | ||||||||||||||||||||||||||||||||||||||||||||
Interested Trustees | Independent Trustees | |||||||||||||||||||||||||||||||||||||||||||
Robert J. Manning | Robin A. Stelmach | Steven E. Buller | Robert E. Butler* | Maureen R. Goldfarb | David H. Gunning | William R. Gutow* | Michael Hegarty | John P. Kavanaugh | Maryanne L. Roepke | Laurie J. Thomsen | Robert W. Uek* | |||||||||||||||||||||||||||||||||
Total Trustee Compensation Paid by Fund Complex1 | Not Applicable | Not Applicable | $356,238 | $367,238 | $362,238 | $417,238 | $352,238 | $362,238 | $356,238 | $357,238 | $363,238 | $368,488 |
1 | For the calendar year ended December 31, 2016 for 134 funds that paid Trustee compensation. |
* | Messrs. Butler, Gutow and Uek retired as Trustees of the Fund on December 31, 2016. |
FUND INFORMATION
This section provides certain information about each Fund, including information about its investment adviser, principal underwriter and administrator, Independent Registered Public Accounting Firm, executive officers and the identity of persons holding more than 5% of the outstanding shares of any class of any Fund.
Investment Adviser, Principal Underwriter and Administrator
Each Fund engages as its investment adviser and administrator MFS, a Delaware corporation with offices at 111 Huntington Avenue, Boston, Massachusetts 02199. Each Fund engages as its principal underwriter MFS Fund Distributors, Inc. (“MFD”), a Delaware corporation with offices at 111 Huntington Avenue, Boston, Massachusetts 02199. MFS and its predecessor organizations have a history of money management dating from 1924. MFS is a subsidiary of Sun Life of Canada (U.S.) Financial Services Holdings, Inc., which in turn is an indirect majority-owned subsidiary of Sun Life Financial Inc. (a diversified financial services company).
Independent Registered Public Accounting Firm
The Independent Registered Public Accounting Firm and fiscal year end for each Fund are listed in Schedule B.
No Independent Registered Public Accounting Firm has a direct or material indirect interest in a Fund.
The Funds do not expect representatives of Ernst & Young LLP or Deloitte & Touche LLP to be present at the Meetings, but they will have the opportunity to make a statement if they wish, and they will be available should any matter arise requiring their presence.
To the extent required by applicable regulations, pre-approval by the Audit Committee of the Board is needed for all audit and permissible non-audit services rendered by the Independent Registered Public Accounting Firm to each Trust and all permissible non-audit services rendered by the Independent Registered Public Accounting Firm to MFS and any entity controlling, controlled by or under common control with MFS that provides ongoing services to a Trust (including MFS Service Center, Inc.) (each, a “Service Affiliate”) if the services relate directly to the operations and financial reporting of such Trust. Pre-approval is currently on an engagement-by-engagement basis. In the event pre-approval of such services is necessary between regular meetings of the Audit Committee and it is not practical to wait to seek pre-approval at the next regular meeting of the Audit Committee, pre-approval of such services may be referred to the Chair of the Audit Committee; provided that the Chair may not pre-approve any individual engagement for such services exceeding $50,000 or multiple engagements for such services in the aggregate exceeding $100,000 between such regular meetings of the Audit Committee. Any engagement pre-approved by the Chair between regular meetings of the Audit Committee shall be presented for ratification by the entire Audit Committee at its next regularly scheduled meeting.
Schedule C attached hereto includes tables that set forth for each Fund (in order of fiscal year end), for each Fund’s two most recent fiscal years, the fees billed by each Fund’s Independent Registered Public Accounting Firm for (a) all audit and non-audit services provided directly to the Fund and (b) those non-audit services provided to the Fund’s Service Affiliates that relate directly to the Fund’s operations and financial reporting under the following captions:
(i) | Audit Fees – fees related to the audit and review of the financial statements included in annual reports and registration statements, and other services that are normally provided in connection with statutory and regulatory filings or engagements. |
15
(ii) | Audit-Related Fees – fees related to assurance and related services that are reasonably related to the performance of the audit or review of financial statements, but not reported under “Audit Fees”, including accounting consultations, agreed-upon procedure reports (inclusive of annual review of basic maintenance testing associated with the Preferred Shares), attestation reports, comfort letters and internal control reviews. |
(iii) | Tax Fees – fees associated with tax compliance, tax advice and tax planning, including services relating to the filing or amendment of federal, state or local income tax returns, regulated investment company qualification reviews and tax distribution and analysis reviews. |
(iv) | All Other Fees – fees for products and services provided to a Trust by the Independent Registered Public Accounting Firm other than those reported under “Audit Fees”, “Audit- Related Fees” and “Tax Fees.” |
Schedule C attached hereto also sets forth the aggregate fees billed by each Independent Registered Public Accounting Firm, for each Fund’s two most recent fiscal years, for non-audit services rendered to each Fund and to each Fund’s Service Affiliates. During the periods indicated in the tables attached hereto as Schedule C, no services described above under “Audit- Related Fees,” “Tax Fees” or “All Other Fees” were approved pursuant to thede minimis exception set forth in paragraph (c)(7)(i)(C) of Rule 2-01 of Regulation S-X.
The Audit Committee has considered whether the provision by a Fund’s Independent Registered Public Accounting Firm of non-audit services to the Fund’s Service Affiliates that were not pre-approved by the Audit Committee (because such services did not relate directly to the operations and financial reporting of the Fund) was compatible with maintaining the independence of the Independent Registered Public Accounting Firm as the Fund’s principal auditor.
Executive Officers
The following table provides information as of January 1, 2017 about the current executive officers of each Trust, including their principal occupations, which, unless specific dates are shown, are of more than five years’ duration, although the titles may not have been the same throughout. Each officer will hold office until his or her successor is chosen and qualified, or until he or she retires, resigns or is removed from office.
Name, Age | Position(s) Held With Trust | Officer Since(1) | Principal Occupations During the Past Five Years(2) | |||
OFFICERS | ||||||
Christopher R. Bohane(3) (Age 42) | Assistant Secretary and Assistant Clerk | July 2005 | Massachusetts Financial Services Company, Vice President and Assistant General Counsel | |||
Kino Clark(3) (Age 48) | Assistant Treasurer | January 2012 | Massachusetts Financial Services Company, Vice President | |||
Thomas H. Connors(3) (Age 57) | Assistant Secretary and Assistant Clerk | September 2012 | Massachusetts Financial Services Company, Vice President and Senior Counsel; Deutsche Investment Management Americas Inc. (financial service provider), Director and Senior Counsel (until 2012) | |||
Ethan D. Corey(3) (Age 53) | Assistant Secretary and Assistant Clerk | July 2005 | Massachusetts Financial Services Company, Senior Vice President and Associate General Counsel | |||
David L. DiLorenzo(3) (Age 48) | President | July 2005 | Massachusetts Financial Services Company, Senior Vice President | |||
Brian E. Langenfeld(3) (Age 43) | Assistant Secretary and Assistant Clerk | June 2006 | Massachusetts Financial Services Company, Vice President and Senior Counsel | |||
Susan A. Pereira(3) (Age 46) | Assistant Secretary and Assistant Clerk | July 2005 | Massachusetts Financial Services Company, Vice President and Senior Counsel | |||
Kasey L. Philips(3) (Age 46) | Assistant Treasurer | September 2012 | Massachusetts Financial Services Company, Vice President; Wells Fargo Funds Management, LLC, Senior Vice President, and Treasurer (until 2012) | |||
Mark N. Polebaum(3) (Age 64) | Secretary and Clerk | January 2006 | Massachusetts Financial Services Company, Executive Vice President, General Counsel and Secretary | |||
Matthew A. Stowe(3) (Age 42) | Assistant Secretary and Assistant Clerk | October 2014 | Massachusetts Financial Services Company, Vice President and Assistant General Counsel | |||
Frank L. Tarantino (Age 72) | Independent Senior Officer | June 2004 | Tarantino LLC (provider of compliance services), Principal | |||
Richard S. Weitzel(3) (Age 46) | Assistant Secretary and Assistant Clerk | October 2007 | Massachusetts Financial Services Company, Senior Vice President and Associate General Counsel | |||
Martin J. Wolin (Age 49) | Chief Compliance Officer | July 2015 | Massachusetts Financial Services Company, Senior Vice President and Chief Compliance Officer (since July 2015); Mercer (financial service provider), Chief Risk and Compliance Officer, North America and Latin America (until July 2015) | |||
James O. Yost(3) (Age 56) | Treasurer | September 1990 | Massachusetts Financial Services Company, Senior Vice President |
(1) | Date first appointed to serve as officer of an MFS fund. Prior to January 2012, Messrs. DiLorenzo and Yost served as Assistant Treasurers of the Funds. From January 2012 through December 2016, Messrs. DiLorenzo and Yost served as Treasurer and Deputy Treasurer of the Funds, respectively. |
16
(2) | Officers do not serve as directors or trustees of companies required to report to the Securities and Exchange Commission (i.e., “public companies”). |
(3) | “Interested person” of the Trust within the meaning of the 1940 Act, as a result of position with MFS. The address of MFS is 111 Huntington Avenue, Boston, Massachusetts 02199. |
Each Fund’s officers held comparable positions with the 138 funds in the MFS Family of Funds, and with certain affiliates of MFS as of date hereof. The address of each officer is c/o MFS, 111 Huntington Avenue, Boston, Massachusetts 02199.
Interests of Certain Persons
Schedule F attached hereto sets forth, as of November 30, 2016, to the best knowledge of each Fund, the shareholders who beneficially owned more than 5% of the outstanding shares of each class of such Fund.
FURTHER INFORMATION ABOUT VOTING AND THE MEETING
Manner of Voting Proxies
All proxies received by management will be voted on all matters presented at the Meeting, and if not limited to the contrary, will be voted FOR the election of Steven E. Buller, John A. Caroselli, Maureen R. Goldfarb, David H. Gunning, Michael Hegarty, John P. Kavanaugh, Robert J. Manning, Clarence Otis, Jr., Maryanne L. Roepke, Robin A. Stelmach, and Laurie J. Thomsen as Trustees of the Trust (if still available for election).
All proxies received, including proxies that reflect (i) broker non-votes (i.e., shares held by brokers or nominees as to which (a) instructions have not been received from the beneficial owners or the persons entitled to vote, and (b) the broker or nominee does not have discretionary voting power on a particular matter), (ii) abstentions or (iii) the withholding of authority to vote, will be counted as shares that are present on a particular matter for purposes of determining the presence of a quorum for that matter. Shares representing a majority of a Trust’s voting power entitled to be cast at the Meeting that are present in person or represented by proxy constitutes a quorum. With respect to the election of Trustees, neither abstentions nor withholding authority to vote have any effect on the outcome of the voting.
Each shareholder of a Fund is entitled to one vote for each dollar of net asset value (number of shares of the Fund owned by such shareholder, times net asset value per share) of the Fund that such shareholder owns at the close of business on January 6, 2017, on each matter on which the shareholder is entitled to vote. Each fractional dollar amount is entitled to a proportionate fractional vote.
Each Fund will reimburse the record holders of its shares for their expenses incurred in providing proxy material to and obtaining voting instructions from beneficial owners.
Each Fund knows of no other matters to be brought before the Meeting. If, however, because of any unexpected occurrence, any nominee is not available for election or if any other matters properly come before the Meeting, it is each Fund’s intention that proxies not limited to the contrary will be voted in accordance with the judgment of the persons named in the proxy materials.
Instructions for Voting Proxies
The giving of a proxy will not affect a shareholder’s right to vote in person should the shareholder decide to attend the Meeting. Please refer to your proxy card or Notice of Internet Availability of Proxy Materials for instructions on voting by telephone or Internet. To record your vote via automated telephone service, call the toll-free number listed on your proxy card or follow the instructions found on the Notice of Internet Availability of Proxy Materials. When receiving your instructions by telephone, the representative may ask you for your full name and address to confirm that you have received the Notice of Internet Availability of Proxy Materials in the mail. If the information you provide matches the information provided to Computershare by the Trust, then a representative can record your instructions over the phone. To use the Internet, please access the Internet address listed on your proxy card and/or Notice of Internet Availability of Proxy Materials and follow the instructions on the website. As the meeting date approaches, you may receive a call from a representative of the Trust, Computershare or its affiliates if the Trust has not yet received your vote. If you wish to participate in the Meeting, but do not wish to give a proxy by telephone or via the Internet, you can request a copy of a full set of proxy materials, which includes a proxy card and/or voting instructions. To vote proxies or submit voting instructions by mail, please mark, sign, date, and return the proxy card received with the Proxy Statement by following the instructions on the proxy card, or you can attend the Meeting in person.
Submission of Proposals
Each of the Funds is part of a Massachusetts business trust, and as such is not required to hold annual meetings of shareholders. However, the Trustees may from time to time schedule special meetings. Shareholder proposals for inclusion in a Fund’s proxy statement for any subsequent meeting must be received by the applicable Fund a reasonable period of time prior to any such meeting.
Additional Information
Because all shareholders of Funds that are series of the same Trust will vote together as a single class with respect to the election of Trustees, the Meeting of shareholders of each Fund is called to be held at the same time as the Meeting of shareholders of each of the other Funds. It is anticipated that all Meetings will be held simultaneously.
Each Fund that owns shares of another Fund (other than the MFS High Yield Pooled Portfolio and the MFS Commodity Strategy Fund) (the “underlying fund”) will vote shares in the same proportion as those underlying fund shareholders unaffiliated with the Funds. Each Fund that owns shares of the MFS High Yield Pooled Portfolio and the MFS Commodity Strategy Fund will vote such shares in the same proportion as the shareholders of the other Funds that are series of MFS Series Trust III and MFS Series Trust XV, respectively.
17
With regard to a proposal other than the election of Trustees (if any), if any shareholder at the Meeting objects to the holding of simultaneous Meetings and moves for an adjournment of that Meeting to a time promptly after the simultaneous Meetings, the persons named as proxies will vote in favor of such adjournment with respect to such other proposals.
The expense of the preparation of this Proxy Statement and related materials, including printing and delivery costs, the solicitation of proxies, and the tabulation costs, will be borne on a proportional basis by the Funds.
Only one copy of the Notice of Internet Availability of Proxy Materials may be mailed to a household, even if more than one person in a household is a Fund shareholder of record, unless the applicable Fund has received contrary instructions from one or more of the shareholders. If you need additional copies of the Notice of Internet Availability of Proxy Materials and you are a holder of record of your shares, please call 800-225-2606. If your shares are held in broker street name, please contact your financial service firm to obtain additional copies of the Notice of Internet Availability of Proxy Materials. Additional copies of the Notice of Internet Availability of Proxy Materials will be delivered promptly upon request. If in the future you do not want the mailing of notices of internet availability of proxy materials, proxy statements and information statements to be combined with those of other members of your household, or if you have received multiple copies of the Notice of Internet Availability of Proxy Materials and want future mailings to be combined with those of other members of your household, please contact MFS in writing at Massachusetts Financial Services Company, 111 Huntington Avenue, Boston, Massachusetts 02199, or by telephone at 800-225-2606, or contact your financial service firm.
18
IT IS IMPORTANT THAT YOUR SHARES BE REPRESENTED AT THE MEETING IN PERSON OR BY PROXY
January 30, 2017
Massachusetts Investors Growth Stock Fund | MFS® International New Discovery Fund | |
Massachusetts Investors Trust | MFS® International Value Fund | |
MFS® Absolute Return Fund | MFS® Lifetime Income Fund | |
MFS® Aggressive Growth Allocation Fund | MFS® Lifetime 2020 Fund | |
MFS® Alabama Municipal Bond Fund | MFS® Lifetime 2025Fund | |
MFS® Arkansas Municipal Bond Fund | MFS® Lifetime 2030 Fund | |
MFS® Blended Research Core Equity Fund | MFS® Lifetime 2035 Fund | |
MFS® Blended Research Emerging Markets Equity Fund | MFS® Lifetime 2040 Fund | |
MFS® Blended Research Global Equity Fund | MFS® Lifetime 2045 Fund | |
MFS® Blended Research Growth Equity Fund | MFS® Lifetime 2050 Fund | |
MFS® Blended Research International Equity Fund | MFS® Lifetime 2055 Fund | |
MFS® Blended Research Mid Cap Equity Fund | MFS® Lifetime 2060 Fund | |
MFS® Blended Research Small Cap Equity Fund | MFS® Limited Maturity Fund | |
MFS® Blended Research Value Equity Fund | MFS® Low Volatility Equity Fund | |
MFS® California Municipal Bond Fund | MFS® Low Volatility Global Equity Fund | |
MFS® Commodity Strategy Fund | MFS® Managed Wealth Fund | |
MFS® Conservative Allocation Fund | MFS® Maryland Municipal Bond Fund | |
MFS® Corporate Bond Fund | MFS® Massachusetts Municipal Bond Fund | |
MFS® Core Equity Fund | MFS® Mid Cap Growth Fund | |
MFS® Diversified Income Fund | MFS® Mid Cap Value Fund | |
MFS® Emerging Markets Debt Fund | MFS® Mississippi Municipal Bond Fund | |
MFS® Emerging Markets Debt Local Currency Fund | MFS® Moderate Allocation Fund | |
MFS® Emerging Markets Equity Fund | MFS® Municipal High Income Fund | |
MFS® Equity Income Fund | MFS® Municipal Income Fund | |
MFS® Equity Opportunities Fund | MFS® Municipal Limited Maturity Fund | |
MFS® Georgia Municipal Bond Fund | MFS® New Discovery Fund | |
MFS® Global Bond Fund | MFS® New Discovery Value Fund | |
MFS® Global Equity Fund | MFS® New York Municipal Bond Fund | |
MFS® Global Growth Fund | MFS® North Carolina Municipal Bond Fund | |
MFS® Global Multi-Asset Fund | MFS® Pennsylvania Municipal Bond Fund | |
MFS® Global Real Estate Fund | MFS® Research Fund | |
MFS® Global Alternative Strategy Fund | MFS® Research International Fund | |
MFS® Global High Yield Fund | MFS® South Carolina Municipal Bond Fund | |
MFS® Global New Discovery Fund | MFS® Strategic Income Fund | |
MFS® Global Total Return Fund | MFS® Technology Fund | |
MFS® Government Securities Fund | MFS® Tennessee Municipal Bond Fund | |
MFS® Growth Allocation Fund | MFS® Total Return Fund | |
MFS® Growth Fund | MFS® Total Return Bond Fund | |
MFS® High Income Fund | MFS® U.S. Government Cash Reserve Fund | |
MFS® High Yield Pooled Portfolio | MFS® U.S. Government Money Market Fund | |
MFS® Inflation-Adjusted Bond Fund | MFS® Utilities Fund | |
MFS® Institutional International Equity Fund | MFS® Value Fund | |
MFS® International Diversification Fund | MFS® Virginia Municipal Bond Fund | |
MFS® International Growth Fund | MFS® West Virginia Municipal Bond Fund |
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Exhibit 1
MFS Funds Board
Nomination and Compensation Committee Charter (Adopted as of July 20, 2004)
Revised December 14, 2010 (Appendix B)
The Board of Trustees (the “Board”) of each of the Trusts listed in Appendix A hereto, as the same may be periodically updated (each a “Trust” and, collectively, the “Trusts”), has adopted this Charter to govern the activities of the Nomination and Compensation Committee (the “Committee”) of the particular Board on behalf of each series of a Trust and each Trust which is itself a single series (each such series a “Fund” and, collectively, the “Funds”). This Charter applies separately to each Trust and its particular Board and Committee, and shall be interpreted accordingly.
Statement of Purposes and Responsibilities
The Committee is responsible for (i) determining requisite standards or qualifications for nominees to serve as trustees on the Board, (ii) identifying possible candidates to become members of the Board in the event that a trustee position is vacated or created and/or in contemplation of a shareholders’ meeting at which one or more trustees is to be elected, and considering and evaluating such candidates and recommending trustee nominees for the Board’s approval.
In addition, the Committee is responsible for recommending for approval by the Board the structure and levels of compensation and other related benefits to be paid or provided by the Funds to Board members (“Independent Trustees”) who are not “interested persons” of the Trust, as defined in Section 2(a)(19) of the Investment Company Act of 1940, as amended (the “1940 Act”).
Organization and Governance
The Committee shall be comprised of all of the Independent Trustees on the Board, and shall not include any members who are not Independent Trustees.
One or more members of the Committee may be designated by the Board as the Committee’s chair or co-chair, as the case may be. The Committee may delegate any portion of its authority or responsibilities to a sub-committee of one or more members.
The Committee will not have regularly scheduled meetings. Committee meetings shall be held as and when the Committee or the Board determines necessary or appropriate in accordance with the Trust’s By-Laws. The Chair of the Trustees, the chair or vice-chair of the Committee or a majority of the members of the Committee are authorized to call a meeting of the Committee and send notice thereof or direct that such notice be sent.
A majority of the members of the Committee shall constitute a quorum for the transaction of business at any meeting of the Committee. The action of a majority of the members of the Committee present at a meeting at which a quorum is present shall be the action of the Committee. The Committee may also take action by written consent of a majority of the Committee members. The Committee may meet by means of a telephone conference circuit or similar communications equipment by means of which all persons participating in the meeting can hear each other.
Committee Duties and Responsibilities
The duties and responsibilities of the Committee include:
Nomination
1. | To determine requisite standards or qualifications for trustees nominees. The Committee currently requires at minimum that trustee candidates have a college degree or equivalent business and related industry experience. |
2. | To identify potential candidates to become members of the Board in the event that a trustee position is vacated or created and/or in contemplation of a shareholders’ meeting at which one or more trustees is to be elected. The Committee may consider candidates recommended by one or more of the following sources: (i) the Fund’s current Trustees,(ii) the Fund’s officers, (iii) the Fund’s investment adviser(s), (iv) the Fund’s shareholders (see 4. below) and (v) any other source the Committee deems to be appropriate. The Committee may, but is not required to, retain a third party search firm at the Fund’s expense to identify potential candidates. |
3. | To consider and evaluate candidates identified in 2. above and recommend trustee nominees for the Board’s approval. In considering and evaluating candidates, the Committee may take into account a wide variety of factors, including (but not limited to): (i) availability and commitment of a candidate to attend meetings and perform his or her responsibilities on the Board, (ii) relevant business and related industry experience, (iii) educational background, (iv) financial expertise, (v) experience with corporate governance matters, (vi) an assessment of the candidate’s ability, judgment and expertise, (vii) overall diversity of the Board’s composition, (viii) the percentage of the Board represented by Independent Trustees and whether a candidate would qualify as an Independent Trustee under the 1940 Act, and (ix) such other factors as the Committee deems appropriate. |
4. | To consider and evaluate nominee candidates properly submitted by shareholders on the same basis as it considers and evaluates candidates recommended by other sources. Appendix B to this Charter, as it may be amended from time to time by the Committee, sets forth procedures that must be followed by shareholders to properly submit a nominee candidate to the Committee (recommendations not properly submitted in accordance with Appendix B will not be considered by the Committee). |
Compensation
1. | To recommend for approval by the Board the structure and levels of compensation and any related benefits to be paid or provided by the Funds to the Independent Trustees for their services on the Board and any Committees of the Board. |
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2. | In formulating the Committee’s recommendations in 1. above, to periodically (and at least annually) review and assess the compensation and any related benefits paid or provided by the Funds to the Independent Trustees based upon facts and circumstances applicable to the Funds, relevant industry practice, the goal of attracting and retaining highly qualified individuals to serve as Independent Trustees and such other factors that the Committee deems appropriate. |
General
1. | To make such other recommendations and reports to the Board within the scope of the Committee’s functions. |
2. | To discharge any other duties or responsibilities delegated to the Committee by the Board from time to time. |
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Appendix A to Exhibit 1
Trusts Covered by the Charter
(As of January 1, 2013)
MFS Series Trust I |
MFS Series Trust II |
MFS Series Trust III |
MFS Series Trust IV |
MFS Series Trust V |
MFS Series Trust VI |
MFS Series Trust VII |
MFS Series Trust VIII |
MFS Series Trust IX |
MFS Series Trust X |
MFS Series Trust XI |
MFS Series Trust XII |
MFS Series Trust XIII |
MFS Series Trust XIV |
MFS Series Trust XV |
MFS Series Trust XVI |
MFS Municipal Series Trust |
MFS Institutional Trust |
Massachusetts Investors Growth Stock Fund |
Massachusetts Investors Trust |
MFS California Municipal Fund |
MFS Charter Income Trust |
MFS Government Markets Income Trust |
MFS High Income Municipal Trust |
MFS High Yield Municipal Trust |
MFS InterMarket Income Trust I |
MFS Intermediate High Income Fund |
MFS Intermediate Income Trust |
MFS Investment Grade Municipal Trust |
MFS Multimarket Income Trust |
MFS Municipal Income Trust |
MFS Special Value Trust |
MFS Variable Insurance Trust |
MFS Variable Insurance Trust II |
MFS Variable Insurance Trust III |
22
Appendix B to Exhibit 1
Procedures for Shareholders to Submit Nominee Candidates
(As of December 14, 2010)
A shareholder must follow the following procedures in order to properly submit a recommendation for a trustee nominee for the Committee’s consideration:
1. | The shareholder must submit any such recommendation in writing to the applicable Trust(s), to the attention of the Secretary, at the address of the principal executive offices of the Trust(s). |
2. | The shareholder recommendation must include, with respect to each applicable Trust: |
(i) | a statement in writing setting forth (A) the name, date of birth, business address and residence address of the person recommended by the shareholder (the “candidate”); and (B) whether the recommending shareholder believes that the candidate is or will be an “interested person” of the Trust (as defined in the Investment Company Act of 1940, as amended) and, if not an “interested person,” information regarding the candidate that will be sufficient for the Trust to make such determination and, if applicable, similar information regarding whether the candidate would satisfy the standards for independence of a Board member under listing standards of the New York Stock Exchange or other applicable securities exchange. |
(ii) | the written and manually signed consent of the candidate to be named as a nominee and to serve as a Trustee if elected; |
(iii) | the recommending shareholder’s name as it appears on the Trust’s books and the class or series and number of all shares of the Trust owned beneficially and of record by the recommending shareholder (as evidenced to the Committee’s satisfaction by a recent brokerage or account statement); and |
(iv) | a description of all arrangements or understandings between the recommending shareholder and the candidate and any other person or persons (including their names) pursuant to which the recommendation is being made by the recommending shareholder. |
In addition, the Committee will require that the recommendation conform to any requirements in the applicable Trust’s by-laws, and may require the candidate to furnish such other information as it may reasonably require or deem necessary to determine the eligibility of such candidate to serve on the Board and information regarding the candidate that would be required to be disclosed if the candidate were a nominee in a proxy statement or other filing required to be made in connection with solicitation of proxies for election of Trustees.
23
Schedule A
Shares Outstanding | ||||||||||||||||||||||||||||
Fund Name | Class A | Class B | Class C | Class I | Class A1 | Class B1 | Class R1 | |||||||||||||||||||||
Massachusetts Investors Growth Stock Fund | 140,928,037.093 | 2,983,552.466 | 11,428,606.069 | 29,733,617.199 | N/A* | N/A* | 1,490,386.202 | |||||||||||||||||||||
Massachusetts Investors Trust | 116,540,984.914 | 2,788,643.849 | 11,036,374.157 | 55,932,591.789 | N/A* | N/A* | 296,123.139 | |||||||||||||||||||||
MFS Absolute Return Fund | 286,185.770 | 48,065.487 | 143,646.917 | 69,558.118 | N/A* | N/A* | 5,408.979 | |||||||||||||||||||||
MFS Aggressive Growth Allocation Fund | 37,314,263.273 | 3,390,021.982 | 14,099,994.042 | 4,827,430.886 | N/A* | N/A* | 926,811.193 | |||||||||||||||||||||
MFS Alabama Municipal Bond Fund | 5,524,764.567 | 46,922.577 | N/A* | 280,256.610 | N/A* | N/A* | N/A* | |||||||||||||||||||||
MFS Arkansas Municipal Bond Fund | 15,286,447.896 | 621,592.560 | N/A* | 681,812.530 | N/A* | N/A* | N/A* | |||||||||||||||||||||
MFS Blended Research Core Equity Fund | 12,203,369.627 | 913,018.832 | 3,409,041.309 | 15,125,537.286 | N/A* | N/A* | 609,846.247 | |||||||||||||||||||||
MFS Blended Research Emerging Markets Equity Fund | 114,951.452 | 11,108.901 | 19,373.308 | 59,307.952 | N/A* | N/A* | 5,051.886 | |||||||||||||||||||||
MFS Blended Research Global Equity Fund | 24,705.081 | 5,062.496 | 10,180.520 | 100,786.603 | N/A* | N/A* | 5,062.496 | |||||||||||||||||||||
Shares Outstanding | ||||||||||||||||||||||||||||
Fund Name | Class R2 | Class R3 | Class R4 | Class R6 | Class 529A | Class 529B | Class 529C | |||||||||||||||||||||
Massachusetts Investors Growth Stock Fund | 8,281,912.377 | 18,912,213.904 | 30,786,577.378 | 25,158,905.115 | 659,620.789 | 28,762.137 | 244,521.382 | |||||||||||||||||||||
Massachusetts Investors Trust | 5,716,521.176 | 11,314,263.039 | 1,938,844.655 | 4,219,841.284 | 321,941.063 | 18,316.292 | 110,956.819 | |||||||||||||||||||||
MFS Absolute Return Fund | 5,403.199 | 5,538.043 | 5,440.540 | 21,085,600.346 | N/A* | N/A* | N/A* | |||||||||||||||||||||
MFS Aggressive Growth Allocation Fund | 3,787,120.797 | 7,012,698.336 | 3,284,986.617 | N/A* | 5,992,036.974 | 280,895.755 | 1,725,727.198 | |||||||||||||||||||||
MFS Alabama Municipal Bond Fund | N/A* | N/A* | N/A* | N/A* | N/A* | N/A* | N/A* | |||||||||||||||||||||
MFS Arkansas Municipal Bond Fund | N/A* | N/A* | N/A* | N/A* | N/A* | N/A* | N/A* | |||||||||||||||||||||
MFS Blended Research Core Equity Fund | 1,592,281.786 | 4,553,849.840 | 1,771,805.066 | 8,328,981.343 | N/A* | N/A* | N/A* | |||||||||||||||||||||
MFS Blended Research Emerging Markets Equity Fund | 5,070.686 | 5,086.625 | 5,102.598 | 863,966.182 | N/A* | N/A* | N/A* | |||||||||||||||||||||
MFS Blended Research Global Equity Fund | 5,093.706 | 5,109.397 | 5,125.114 | 266,543.475 | N/A* | N/A* | N/A* | |||||||||||||||||||||
Shares Outstanding | ||||||||||||||||||||||||||||
Fund Name | Class A | Class B | Class C | Class I | Class A1 | Class B1 | Class R1 | |||||||||||||||||||||
MFS Blended Research Growth Equity Fund | 66,769.272 | 14,838.714 | 6,396.329 | 47,713.547 | N/A* | N/A* | 5,003.006 | |||||||||||||||||||||
MFS Blended Research International Equity Fund | 23,923.577 | 5,967.228 | 5,115.082 | 79,195.204 | N/A* | N/A* | 5,047.412 | |||||||||||||||||||||
MFS Blended Research Mid Cap Equity Fund | 7,104.569 | 5,005.252 | 5,005.252 | 5,022.950 | N/A* | N/A* | 5,005.252 | |||||||||||||||||||||
MFS Blended Research Small Cap Equity Fund | 268,438.997 | 20,040.499 | 18,923.519 | 62,360.341 | N/A* | N/A* | 5,158.546 | |||||||||||||||||||||
MFS Blended Research Value Equity Fund | 77,849.285 | 10,328.111 | 39,143.082 | 38,302.236 | N/A* | N/A* | 5,033.209 | |||||||||||||||||||||
MFS California Municipal Bond Fund | 43,219,420.805 | 480,784.888 | 5,849,588.730 | 3,223,116.974 | N/A* | N/A* | N/A* | |||||||||||||||||||||
MFS Commodity Strategy Fund | 8,206.250 | N/A* | N/A* | 8,245.534 | N/A* | N/A* | N/A* | |||||||||||||||||||||
MFS Conservative Allocation Fund | 92,954,287.695 | 9,708,529.381 | 47,480,705.075 | 15,761,900.331 | N/A* | N/A* | 1,074,391.402 | |||||||||||||||||||||
MFS Corporate Bond Fund | 124,264,046.403 | 4,764,012.487 | 18,606,234.762 | 86,677,897.141 | N/A* | N/A* | 497,576.846 |
Schedule A-1
Shares Outstanding | ||||||||||||||||||||||||||||
Fund Name | Class R2 | Class R3 | Class R4 | Class R6 | Class 529A | Class 529B | Class 529C | |||||||||||||||||||||
MFS Blended Research Growth Equity Fund | 5,010.395 | 5,020.971 | 5,036.400 | 10,123,465.560 | N/A* | N/A* | N/A* | |||||||||||||||||||||
MFS Blended Research International Equity Fund | 5,057.094 | 5,058.891 | 5,089.238 | 17,023,344.008 | N/A* | N/A* | N/A* | |||||||||||||||||||||
MFS Blended Research Mid Cap Equity Fund | 5,014.115 | 5,018.506 | 5,022.950 | 16,638,089.064 | N/A* | N/A* | N/A* | |||||||||||||||||||||
MFS Blended Research Small Cap Equity Fund | 5,026.457 | 5,033.421 | 5,048.051 | 3,626,378.624 | 15,290.674 | 4,689.540 | 4,716.594 | |||||||||||||||||||||
MFS Blended Research Value Equity Fund | 5,052.971 | 5,068.034 | 5,083.156 | 9,190,446.594 | N/A* | N/A* | N/A* | |||||||||||||||||||||
MFS California Municipal Bond Fund | N/A* | N/A* | N/A* | N/A* | N/A* | N/A* | N/A* | |||||||||||||||||||||
MFS Commodity Strategy Fund | N/A* | N/A* | N/A* | 94,900,728.619 | N/A* | N/A* | N/A* | |||||||||||||||||||||
MFS Conservative Allocation Fund | 6,495,386.459 | 10,315,346.826 | 8,515,051.476 | N/A* | 6,658,186.638 | 439,805.812 | 3,022,365.136 | |||||||||||||||||||||
MFS Corporate Bond Fund | 3,997,547.133 | 4,602,963.036 | 11,453,961.663 | 3,869,054.539 | N/A* | N/A* | N/A* | |||||||||||||||||||||
Shares Outstanding | ||||||||||||||||||||||||||||
Fund Name | Class A | Class B | Class C | Class I | Class A1 | Class B1 | Class R1 | |||||||||||||||||||||
MFS Core Equity Fund | 34,871,372.420 | 1,176,702.869 | 3,750,188.907 | 3,418,675.259 | N/A* | N/A* | 124,892.357 | |||||||||||||||||||||
MFS Diversified Income Fund | 130,279,204.004 | N/A* | 85,904,522.768 | 87,483,506.609 | N/A* | N/A* | 99,734.175 | |||||||||||||||||||||
MFS Emerging Markets Debt Fund | 34,690,180.567 | 2,041,525.426 | 13,747,986.947 | 272,254,304.654 | N/A* | N/A* | 62,578.182 | |||||||||||||||||||||
MFS Emerging Markets Debt Local Currency Fund | 394,327.307 | 29,734.889 | 72,150.715 | 201,118.288 | N/A* | N/A* | 8,181.631 | |||||||||||||||||||||
MFS Emerging Markets Equity Fund | 3,994,642.943 | 225,233.135 | 835,739.950 | 857,369.633 | N/A* | N/A* | 16,980.649 | |||||||||||||||||||||
MFS Equity Income Fund | 9,099,924.491 | 295,639.385 | 1,503,451.970 | 1,259,086.468 | N/A* | N/A* | 5,443.827 | |||||||||||||||||||||
MFS Equity Opportunities Fund | 6,857,757.035 | 465,242.555 | 3,531,525.850 | 3,832,201.359 | N/A* | N/A* | 8,370.483 | |||||||||||||||||||||
MFS Georgia Municipal Bond Fund | 5,600,632.750 | 110,912.149 | N/A* | 538,319.904 | N/A* | N/A* | N/A* | |||||||||||||||||||||
MFS Global Bond Fund | 1,375,550.413 | 124,772.467 | 251,791.003 | 416,439.854 | N/A* | N/A* | 8,194.432 | |||||||||||||||||||||
Shares Outstanding | ||||||||||||||||||||||||||||
Fund Name | Class R2 | Class R3 | Class R4 | Class R6 | Class 529A | Class 529B | Class 529C | |||||||||||||||||||||
MFS Core Equity Fund | 581,750.512 | 2,705,449.305 | 726,255.195 | 10,590,830.127 | N/A* | N/A* | N/A* | |||||||||||||||||||||
MFS Diversified Income Fund | 344,337.067 | 1,575,583.642 | 492,570.166 | 1,220,727.367 | N/A* | N/A* | N/A* | |||||||||||||||||||||
MFS Emerging Markets Debt Fund | 1,681,441.229 | 3,355,129.247 | 4,502,391.166 | 54,654,373.120 | N/A* | N/A* | N/A* | |||||||||||||||||||||
MFS Emerging Markets Debt Local Currency Fund | 7,892.203 | 43,807.823 | 7,946.375 | 46,015,634.948 | N/A* | N/A* | N/A* | |||||||||||||||||||||
MFS Emerging Markets Equity Fund | 170,323.997 | 60,406.553 | 160,510.628 | 24,693,843.741 | N/A* | N/A* | N/A* | |||||||||||||||||||||
MFS Equity Income Fund | 6,266.858 | 8,641.204 | 4,053.507 | 105,615.137 | N/A* | N/A* | N/A* | |||||||||||||||||||||
MFS Equity Opportunities Fund | 57,020.153 | 54,334.866 | 222,468.452 | 346,299.798 | N/A* | N/A* | N/A* | |||||||||||||||||||||
MFS Georgia Municipal Bond Fund | N/A* | N/A* | N/A* | N/A* | N/A* | N/A* | N/A* | |||||||||||||||||||||
MFS Global Bond Fund | 8,131.274 | 9,673.818 | 6,044.087 | 72,445,586.665 | N/A* | N/A* | N/A* | |||||||||||||||||||||
Shares Outstanding | ||||||||||||||||||||||||||||
Fund Name | Class A | Class B | Class C | Class I | Class A1 | Class B1 | Class R1 | |||||||||||||||||||||
MFS Global Equity Fund | 18,311,173.057 | 764,110.125 | 4,857,032.378 | 23,805,307.024 | N/A* | N/A* | 86,802.605 | |||||||||||||||||||||
MFS Global Growth Fund | 5,247,362.067 | 159,959.770 | 450,441.586 | 746,815.908 | N/A* | N/A* | 27,360.573 | |||||||||||||||||||||
MFS Global Multi-Asset Fund | 567,701.388 | 73,495.677 | 160,057.891 | 1,509,586.546 | N/A* | N/A* | 7,763.596 | |||||||||||||||||||||
MFS Global Real Estate Fund | 1,508,109.665 | 126,217.265 | 346,877.812 | 3,650,901.731 | N/A* | N/A* | 8,197.995 | |||||||||||||||||||||
MFS Global Alternative Strategy Fund | 10,136,962.495 | 768,002.433 | 3,977,774.654 | 27,767,166.754 | N/A* | N/A* | 34,608.395 | |||||||||||||||||||||
MFS Global High Yield Fund | 37,769,462.163 | 2,436,554.183 | 10,723,079.535 | 14,786,001.024 | N/A* | N/A* | 16,527.386 | |||||||||||||||||||||
MFS Global New Discovery Fund | 679,195.051 | 78,066.329 | 318,888.006 | 399,303.156 | N/A* | N/A* | 4,026.023 | |||||||||||||||||||||
MFS Global Total Return Fund | 48,208,037.786 | 3,184,888.156 | 21,246,046.279 | 31,453,405.783 | N/A* | N/A* | 172,066.179 | |||||||||||||||||||||
MFS Government Securities Fund | 70,612,152.808 | 1,943,822.525 | 4,481,034.161 | 5,079,869.470 | N/A* | N/A* | 326,897.615 |
Schedule A-2
Shares Outstanding | ||||||||||||||||||||||||||||
Fund Name | Class R2 | Class R3 | Class R4 | Class R6 | Class 529A | Class 529B | Class 529C | |||||||||||||||||||||
MFS Global Equity Fund | 1,366,191.778 | 2,767,919.535 | 3,235,979.345 | 15,986,731.817 | N/A* | N/A* | N/A* | |||||||||||||||||||||
MFS Global Growth Fund | 86,160.840 | 121,574.256 | 16,147.752 | 239,405.166 | N/A* | N/A* | N/A* | |||||||||||||||||||||
MFS Global Multi-Asset Fund | 6,451.027 | 146,444.974 | 5,792.865 | 73,910.442 | N/A* | N/A* | N/A* | |||||||||||||||||||||
MFS Global Real Estate Fund | 33,644.051 | 22,479.284 | 94,777.265 | 30,521,764.822 | N/A* | N/A* | N/A* | |||||||||||||||||||||
MFS Global Alternative Strategy Fund | 140,751.721 | 94,924.741 | 26,988.297 | 582,983.330 | N/A* | N/A* | N/A* | |||||||||||||||||||||
MFS Global High Yield Fund | 33,789.990 | 1,446,453.308 | 1,120,484.974 | 687,685.115 | N/A* | N/A* | N/A* | |||||||||||||||||||||
MFS Global New Discovery Fund | 6,072.351 | 5,290.239 | 3,352.875 | 145,925.725 | N/A* | N/A* | N/A* | |||||||||||||||||||||
MFS Global Total Return Fund | 1,356,789.033 | 1,071,514.781 | 243,298.827 | 12,510,929.695 | N/A* | N/A* | N/A* | |||||||||||||||||||||
MFS Government Securities Fund | 11,649,202.713 | 9,846,153.367 | 6,753,607.721 | 105,024,616.025 | N/A* | N/A* | N/A* | |||||||||||||||||||||
Shares Outstanding | ||||||||||||||||||||||||||||
Fund Name | Class A | Class B | Class C | Class I | Class A1 | Class B1 | Class R1 | |||||||||||||||||||||
MFS Growth Allocation Fund | 149,722,676.667 | 13,217,038.702 | 53,216,943.602 | 6,373,234.710 | N/A* | N/A* | 1,986,226.823 | |||||||||||||||||||||
MFS Growth Fund | 60,247,812.722 | 2,136,100.953 | 9,820,534.752 | 56,937,789.943 | N/A* | N/A* | 212,406.939 | |||||||||||||||||||||
MFS High Income Fund | 150,878,881.429 | 6,351,127.929 | 19,256,553.934 | 34,935,077.629 | N/A* | N/A* | 329,934.383 | |||||||||||||||||||||
MFS Inflation-Adjusted Bond Fund | 4,761,888.692 | 971,765.836 | 1,141,768.658 | 1,645,994.083 | N/A* | N/A* | 31,158.732 | |||||||||||||||||||||
MFS International Diversification Fund | 145,626,969.071 | 2,051,151.805 | 28,609,580.423 | 126,196,977.062 | N/A* | N/A* | 499,076.234 | |||||||||||||||||||||
MFS International Growth Fund | 18,089,417.765 | 305,129.361 | 1,506,983.430 | 40,682,856.699 | N/A* | N/A* | 88,347.405 | |||||||||||||||||||||
MFS International New Discovery Fund | 44,186,881.939 | 569,174.965 | 5,731,813.139 | 59,025,128.428 | N/A* | N/A* | 125,612.781 | |||||||||||||||||||||
MFS International Value Fund | 160,853,172.705 | 1,468,300.500 | 21,802,371.924 | 314,944,426.709 | N/A* | N/A* | 377,813.786 | |||||||||||||||||||||
MFS Lifetime Income Fund | 10,001,020.540 | 1,376,783.579 | 12,574,775.205 | 2,446,089.306 | N/A* | N/A* | 359,785.073 | |||||||||||||||||||||
Shares Outstanding | ||||||||||||||||||||||||||||
Fund Name | Class R2 | Class R3 | Class R4 | Class R6 | Class 529A | Class 529B | Class 529C | |||||||||||||||||||||
MFS Growth Allocation Fund | 10,175,557.074 | 12,883,121.494 | 12,203,042.811 | N/A* | 10,617,178.392 | 653,259.096 | 3,878,608.447 | |||||||||||||||||||||
MFS Growth Fund | 2,529,270.856 | 7,602,928.373 | 9,619,276.987 | 34,513,282.138 | N/A* | N/A* | N/A* | |||||||||||||||||||||
MFS High Income Fund | 4,524,976.751 | 1,966,250.789 | 115,318.470 | 232,494,515.649 | 1,260,133.620 | 103,770.587 | 394,814.487 | |||||||||||||||||||||
MFS Inflation-Adjusted Bond Fund | 140,140.324 | 216,586.735 | 64,907.537 | 109,170,280.553 | N/A* | N/A* | N/A* | |||||||||||||||||||||
MFS International Diversification Fund | 4,122,795.595 | 16,551,852.452 | 42,943,081.306 | N/A* | N/A* | N/A* | N/A* | |||||||||||||||||||||
MFS International Growth Fund | 783,060.677 | 952,809.909 | 4,311,042.504 | 82,411,544.515 | N/A* | N/A* | N/A* | |||||||||||||||||||||
MFS International New Discovery Fund | 1,877,495.701 | 5,435,742.951 | 10,817,285.330 | 41,234,583.381 | 221,911.704 | 11,329.797 | 71,628.006 | |||||||||||||||||||||
MFS International Value Fund | 11,242,881.831 | 34,974,873.479 | 31,037,279.787 | 105,921,812.859 | N/A* | N/A* | N/A* | |||||||||||||||||||||
MFS Lifetime Income Fund | 2,539,940.748 | 3,805,847.312 | 10,555,430.471 | 96,497.646 | 7,100,759.910 | 498,881.863 | 3,202,853.959 | |||||||||||||||||||||
Shares Outstanding | ||||||||||||||||||||||||||||
Fund Name | Class A | Class B | Class C | Class I | Class A1 | Class B1 | Class R1 | |||||||||||||||||||||
MFS Lifetime 2020 Fund | 3,933,005.033 | 463,950.174 | 1,419,967.342 | 116,341.737 | N/A* | N/A* | 298,126.574 | |||||||||||||||||||||
MFS Lifetime 2025 Fund | 1,136,773.966 | 112,297.038 | 257,547.540 | 10,324.265 | N/A* | N/A* | 20,441.514 | |||||||||||||||||||||
MFS Lifetime 2030 Fund | 3,722,516.050 | 619,492.793 | 1,150,324.221 | 109,161.405 | N/A* | N/A* | 374,394.361 | |||||||||||||||||||||
MFS Lifetime 2035 Fund | 710,999.627 | 101,617.176 | 151,500.516 | 8,261.503 | N/A* | N/A* | 39,611.253 | |||||||||||||||||||||
MFS Lifetime 2040 Fund | 2,280,819.815 | 331,705.911 | 750,392.342 | 77,097.666 | N/A* | N/A* | 300,633.400 | |||||||||||||||||||||
MFS Lifetime 2045 Fund | 434,780.982 | 52,807.513 | 115,028.582 | 8,618.467 | N/A* | N/A* | 18,741.562 | |||||||||||||||||||||
MFS Lifetime 2050 Fund | 639,273.104 | 58,763.870 | 145,497.174 | 22,260.206 | N/A* | N/A* | 26,365.823 | |||||||||||||||||||||
MFS Lifetime 2055 Fund | 219,123.267 | 25,832.882 | 98,405.293 | 5,503.869 | N/A* | N/A* | 28,358.294 | |||||||||||||||||||||
MFS Lifetime 2060 Fund | 5,053.378 | 5,050.615 | 5,050.615 | 5,054.284 | N/A* | N/A* | 5,050.615 |
Schedule A-3
Shares Outstanding | ||||||||||||||||||||||||||||
Fund Name | Class R2 | Class R3 | Class R4 | Class R6 | Class 529A | Class 529B | Class 529C | |||||||||||||||||||||
MFS Lifetime 2020 Fund | 5,910,681.466 | 5,244,224.209 | 14,790,151.402 | 364,450.123 | N/A* | N/A* | N/A* | |||||||||||||||||||||
MFS Lifetime 2025 Fund | 1,622,142.919 | 2,756,227.684 | 10,405,724.125 | 440,685.765 | N/A* | N/A* | N/A* | |||||||||||||||||||||
MFS Lifetime 2030 Fund | 7,170,401.986 | 6,983,736.592 | 15,785,665.199 | 777,927.060 | N/A* | N/A* | N/A* | |||||||||||||||||||||
MFS Lifetime 2035 Fund | 1,046,859.675 | 2,292,363.683 | 8,386,326.249 | 370,189.913 | N/A* | N/A* | N/A* | |||||||||||||||||||||
MFS Lifetime 2040 Fund | 5,109,769.877 | 3,860,394.691 | 13,637,831.707 | 714,821.209 | N/A* | N/A* | N/A* | |||||||||||||||||||||
MFS Lifetime 2045 Fund | 646,829.662 | 1,456,648.527 | 5,791,162.359 | 164,826.668 | N/A* | N/A* | N/A* | |||||||||||||||||||||
MFS Lifetime 2050 Fund | 1,817,077.320 | 1,394,956.902 | 5,211,141.638 | 148,137.066 | N/A* | N/A* | N/A* | |||||||||||||||||||||
MFS Lifetime 2055 Fund | 349,320.118 | 568,848.803 | 1,330,785.812 | 94,003.801 | N/A* | N/A* | N/A* | |||||||||||||||||||||
MFS Lifetime 2060 Fund | 5,052.420 | 5,053.378 | 5,054.284 | 50,543.143 | N/A* | N/A* | N/A* | |||||||||||||||||||||
Shares Outstanding | ||||||||||||||||||||||||||||
Fund Name | Class A | Class B | Class C | Class I | Class A1 | Class B1 | Class R1 | |||||||||||||||||||||
MFS Limited Maturity Fund | 83,347,858.827 | 1,028,079.300 | 17,833,390.810 | 39,687,902.354 | N/A* | N/A* | 59,042.733 | |||||||||||||||||||||
MFS Low Volatility Equity Fund | 2,616,898.623 | 144,375.723 | 824,298.563 | 1,091,449.509 | N/A* | N/A* | 4,555.600 | |||||||||||||||||||||
MFS Low Volatility Global Equity Fund | 644,380.053 | 24,918.121 | 146,107.915 | 2,047,793.556 | N/A* | N/A* | 4,703.949 | |||||||||||||||||||||
MFS Managed Wealth Fund | 638,930.089 | 7,079.669 | 355,823.799 | 4,578,277.422 | N/A* | N/A* | 5,186.669 | |||||||||||||||||||||
MFS Maryland Municipal Bond Fund | 7,863,019.703 | 163,559.863 | N/A* | 198,526.421 | N/A* | N/A* | N/A* | |||||||||||||||||||||
MFS Massachusetts Municipal Bond Fund | 19,322,034.742 | 251,459.387 | N/A* | 1,441,044.589 | N/A* | N/A* | N/A* | |||||||||||||||||||||
MFS Mid Cap Growth Fund | 32,755,978.773 | 1,349,404.343 | 4,555,421.851 | 11,137,903.054 | N/A* | N/A* | 162,227.809 | |||||||||||||||||||||
MFS Mid Cap Value Fund | 51,298,289.644 | 1,036,661.159 | 7,949,469.578 | 43,178,482.092 | N/A* | N/A* | 619,792.289 | |||||||||||||||||||||
MFS Mississippi Municipal Bond Fund | 8,884,508.976 | 132,372.874 | N/A* | 329,744.743 | N/A* | N/A* | N/A* | |||||||||||||||||||||
Shares Outstanding | ||||||||||||||||||||||||||||
Fund Name | Class R2 | Class R3 | Class R4 | Class R6 | Class 529A | Class 529B | Class 529C | |||||||||||||||||||||
MFS Limited Maturity Fund | 591,427.276 | 446,987.779 | 1,150,473.709 | 86,837,565.968 | 13,178,023.219 | 565,838.020 | 6,902,385.855 | |||||||||||||||||||||
MFS Low Volatility Equity Fund | 4,211.529 | 4,223.084 | 4,238.221 | 112,545.344 | N/A* | N/A* | N/A* | |||||||||||||||||||||
MFS Low Volatility Global Equity Fund | 6,202.101 | 4,741.808 | 4,763.497 | 4,058,213.613 | N/A* | N/A* | N/A* | |||||||||||||||||||||
MFS Managed Wealth Fund | 5,169.173 | 5,165.923 | 5,178.249 | N/A* | N/A* | N/A* | N/A* | |||||||||||||||||||||
MFS Maryland Municipal Bond Fund | N/A* | N/A* | N/A* | N/A* | N/A* | N/A* | N/A* | |||||||||||||||||||||
MFS Massachusetts Municipal Bond Fund | N/A* | N/A* | N/A* | N/A* | N/A* | N/A* | N/A* | |||||||||||||||||||||
MFS Mid Cap Growth Fund | 420,027.414 | 1,450,748.582 | 979,473.226 | 87,144,283.611 | 289,160.371 | 15,172.317 | 147,059.635 | |||||||||||||||||||||
MFS Mid Cap Value Fund | 7,170,745.876 | 18,476,897.924 | 25,525,066.398 | 117,829,694.962 | 283,607.782 | 13,241.934 | 97,257.172 | |||||||||||||||||||||
MFS Mississippi Municipal Bond Fund | N/A* | N/A* | N/A* | N/A* | N/A* | N/A* | N/A* | |||||||||||||||||||||
Shares Outstanding | ||||||||||||||||||||||||||||
Fund Name | Class A | Class B | Class C | Class I | Class A1 | Class B1 | Class R1 | |||||||||||||||||||||
MFS Moderate Allocation Fund | 189,102,021.080 | 18,536,841.980 | 77,032,129.037 | 9,579,076.316 | N/A* | N/A* | 2,036,420.310 | |||||||||||||||||||||
MFS Municipal High Income Fund | 221,825,118.277 | 3,315,044.655 | 35,625,478.622 | 197,453,565.068 | N/A* | N/A* | N/A* | |||||||||||||||||||||
MFS Municipal Income Fund | 150,915,702.756 | 2,894,698.753 | 21,596,847.912 | 70,640,740.827 | 59,753,230.539 | 21,455.995 | N/A* | |||||||||||||||||||||
MFS Municipal Limited Maturity Fund | 88,523,319.924 | 201,746.884 | 16,695,811.889 | 98,268,036.863 | N/A* | N/A* | N/A* | |||||||||||||||||||||
MFS New Discovery Fund | 15,980,544.497 | 990,116.484 | 3,940,344.398 | 4,535,057.610 | N/A* | N/A* | 244,173.201 | |||||||||||||||||||||
MFS New Discovery Value Fund | 11,606,926.184 | 349,544.712 | 4,150,408.964 | 11,711,041.206 | N/A* | N/A* | 19,917.120 | |||||||||||||||||||||
MFS New York Municipal Bond Fund | 11,462,301.153 | 499,324.914 | 2,372,685.493 | 4,712,227.471 | N/A* | N/A* | N/A* | |||||||||||||||||||||
MFS North Carolina Municipal Bond Fund | 23,095,034.366 | 302,386.185 | 5,051,125.550 | 3,039,999.159 | N/A* | N/A* | N/A* | |||||||||||||||||||||
MFS Pennsylvania Municipal Bond Fund | 10,334,335.983 | 497,295.815 | N/A* | 1,229,236.263 | N/A* | N/A* | N/A* |
Schedule A-4
Shares Outstanding | ||||||||||||||||||||||||||||
Fund Name | Class R2 | Class R3 | Class R4 | Class R6 | Class 529A | Class 529B | Class 529C | |||||||||||||||||||||
MFS Moderate Allocation Fund | 12,284,983.498 | 20,805,608.489 | 15,356,825.497 | N/A* | 12,249,361.034 | 933,310.442 | 4,771,170.182 | |||||||||||||||||||||
MFS Municipal High Income Fund | N/A* | N/A* | N/A* | N/A* | N/A* | N/A* | N/A* | |||||||||||||||||||||
MFS Municipal Income Fund | N/A* | N/A* | N/A* | N/A* | N/A* | N/A* | N/A* | |||||||||||||||||||||
MFS Municipal Limited Maturity Fund | N/A* | N/A* | N/A* | N/A* | N/A* | N/A* | N/A* | |||||||||||||||||||||
MFS New Discovery Fund | 1,436,419.212 | 2,211,753.730 | 3,108,326.268 | 11,706,140.099 | 226,558.649 | 14,867.846 | 70,393.366 | |||||||||||||||||||||
MFS New Discovery Value Fund | 78,962.884 | 701,435.411 | 106,560.573 | 19,949,643.102 | N/A* | N/A* | N/A* | |||||||||||||||||||||
MFS New York Municipal Bond Fund | N/A* | N/A* | N/A* | N/A* | N/A* | N/A* | N/A* | |||||||||||||||||||||
MFS North Carolina Municipal Bond Fund | N/A* | N/A* | N/A* | N/A* | N/A* | N/A* | N/A* | |||||||||||||||||||||
MFS Pennsylvania Municipal Bond Fund | N/A* | N/A* | N/A* | N/A* | N/A* | N/A* | N/A* | |||||||||||||||||||||
Shares Outstanding | ||||||||||||||||||||||||||||
Fund Name | Class A | Class B | Class C | Class I | Class A1 | Class B1 | Class R1 | |||||||||||||||||||||
MFS Research Fund | 62,112,796.555 | 677,976.740 | 3,907,393.689 | 24,111,359.025 | N/A* | N/A* | 125,638.678 | |||||||||||||||||||||
MFS Research International Fund | 56,648,354.203 | 455,905.159 | 3,769,945.142 | 137,214,822.893 | N/A* | N/A* | 143,670.266 | |||||||||||||||||||||
MFS South Carolina Municipal Bond Fund | 14,314,562.629 | 334,038.791 | N/A* | 998,884.535 | N/A* | N/A* | N/A* | |||||||||||||||||||||
MFS Strategic Income Fund | 31,875,151.549 | 3,519,012.253 | 5,741,532.595 | 5,701,305.401 | N/A* | N/A* | N/A* | |||||||||||||||||||||
MFS Technology Fund | 11,734,517.965 | 1,083,043.882 | 3,162,920.464 | 3,266,672.326 | N/A* | N/A* | 117,510.637 | |||||||||||||||||||||
MFS Tennessee Municipal Bond Fund | 9,662,480.598 | 130,568.252 | N/A* | 970,977.097 | N/A* | N/A* | N/A* | |||||||||||||||||||||
MFS Total Return Fund | 260,855,981.707 | 11,057,682.290 | 60,437,563.246 | 23,459,964.003 | N/A* | N/A* | 744,851.808 | |||||||||||||||||||||
MFS Total Return Bond Fund | 170,034,340.690 | 2,510,015.744 | 13,775,273.455 | 96,698,322.147 | N/A* | N/A* | 270,835.959 | |||||||||||||||||||||
MFS U.S. Government Cash Reserve Fund | 132,147,085.387 | 23,564,448.018 | 48,670,758.775 | N/A* | N/A* | N/A* | 11,810,888.835 | |||||||||||||||||||||
Shares Outstanding | ||||||||||||||||||||||||||||
Fund Name | Class R2 | Class R3 | Class R4 | Class R6 | Class 529A | Class 529B | Class 529C | |||||||||||||||||||||
MFS Research Fund | 730,665.582 | 1,321,146.240 | 1,321,885.115 | 35,205,625.456 | N/A* | N/A* | N/A* | |||||||||||||||||||||
MFS Research International Fund | 9,691,109.205 | 6,910,192.842 | 7,250,205.155 | 185,753,378.636 | 591,766.150 | 27,345.350 | 230,659.749 | |||||||||||||||||||||
MFS South Carolina Municipal Bond Fund | N/A* | N/A* | N/A* | N/A* | N/A* | N/A* | N/A* | |||||||||||||||||||||
MFS Strategic Income Fund | N/A* | N/A* | N/A* | N/A* | N/A* | N/A* | N/A* | |||||||||||||||||||||
MFS Technology Fund | 671,883.589 | 959,161.334 | 338,172.005 | 1,953,560.038 | N/A* | N/A* | N/A* | |||||||||||||||||||||
MFS Tennessee Municipal Bond Fund | N/A* | N/A* | N/A* | N/A* | N/A* | N/A* | N/A* | |||||||||||||||||||||
MFS Total Return Fund | 11,306,895.856 | 16,559,416.253 | 16,341,163.306 | 11,325,518.684 | 1,204,688.240 | 89,018.138 | 593,154.411 | |||||||||||||||||||||
MFS Total Return Bond Fund | 4,637,748.092 | 8,534,414.747 | 12,125,836.868 | 130,441,322.844 | 688,317.682 | 28,737.010 | 352,799.992 | |||||||||||||||||||||
MFS U.S. Government Cash Reserve Fund | 51,119,575.339 | 34,030,990.290 | 3,129,208.684 | N/A* | 13,157,676.163 | 372,714.835 | 6,997,984.270 | |||||||||||||||||||||
Shares Outstanding | ||||||||||||||||||||||||||||
Fund Name | Class A | Class B | Class C | Class I | Class A1 | Class B1 | Class R1 | |||||||||||||||||||||
MFS Utilities Fund | 126,601,421.743 | 9,943,850.051 | 38,824,834.058 | 27,008,975.070 | N/A* | N/A* | 511,114.583 | |||||||||||||||||||||
MFS Value Fund | 237,657,396.881 | 4,135,245.356 | 42,746,474.598 | 500,177,275.709 | N/A* | N/A* | 805,930.202 | |||||||||||||||||||||
MFS Virginia Municipal Bond Fund | 21,797,367.889 | 105,669.739 | 2,379,262.214 | 2,492,782.075 | N/A* | N/A* | N/A* | |||||||||||||||||||||
MFS West Virginia Municipal Bond Fund | 10,163,361.368 | 82,029.226 | N/A* | 451,948.475 | N/A* | N/A* | N/A* |
Schedule A-5
Shares Outstanding | ||||||||||||||||||||||||||||
Fund Name | Class R2 | Class R3 | Class R4 | Class R6 | Class 529A | Class 529B | Class 529C | |||||||||||||||||||||
MFS Utilities Fund | 4,787,611.520 | 6,102,700.578 | 4,671,473.575 | 4,398,248.955 | N/A* | N/A* | N/A* | |||||||||||||||||||||
MFS Value Fund | 16,856,461.092 | 53,564,290.988 | 86,259,788.400 | 187,692,608.442 | 565,264.906 | 23,127.560 | 158,874.320 | |||||||||||||||||||||
MFS Virginia Municipal Bond Fund | N/A* | N/A* | N/A* | N/A* | N/A* | N/A* | N/A* | |||||||||||||||||||||
MFS West Virginia Municipal Bond Fund | N/A* | N/A* | N/A* | N/A* | N/A* | N/A* | N/A* | |||||||||||||||||||||
Shares Outstanding | ||||||||||||||||||||||||||||
Fund Name | ||||||||||||||||||||||||||||
MFS High Yield Pooled Portfolio | 153,346,783.648 | |||||||||||||||||||||||||||
MFS Institutional International Equity Fund | 383,093,798.404 | |||||||||||||||||||||||||||
MFS U.S. Government Money Market Fund | 362,431,510.699 |
Schedule A-6
Schedule B
Fund Name | Independent Registered Public Accounting Firm | Fiscal Year End | ||
Massachusetts Investors Growth Stock Fund | Ernst & Young LLP (“E&Y”) | November 30 | ||
Massachusetts Investors Trust | Deloitte & Touch LLP (“D&T”) | December 31 | ||
MFS Absolute Return Fund | D&T | May 31 | ||
MFS Aggressive Growth Allocation Fund | E&Y | May 31 | ||
MFS Alabama Municipal Bond Fund | D&T | March 31 | ||
MFS Arkansas Municipal Bond Fund | D&T | March 31 | ||
MFS Blended Research Core Equity Fund | D&T | September 30 | ||
MFS Blended Research Emerging Markets Equity Fund | E&Y | August 31 | ||
MFS Blended Research Global Equity Fund | E&Y | August 31 | ||
MFS Blended Research Growth Equity Fund | D&T | May 31 | ||
MFS Blended Research International Equity Fund | E&Y | August 31 | ||
MFS Blended Research Mid Cap Equity Fund | D&T | May 31 | ||
MFS Blended Research Small Cap Equity Fund | D&T | May 31 | ||
MFS Blended Research Value Equity Fund | D&T | May 31 | ||
MFS California Municipal Bond Fund | D&T | March 31 | ||
MFS Commodity Strategy Fund | D&T | October 31 | ||
MFS Conservative Allocation Fund | E&Y | May 31 | ||
MFS Corporate Bond Fund | D&T | April 30 | ||
MFS Core Equity Fund | E&Y | August 31 | ||
MFS Diversified Income Fund | E&Y | February 28 | ||
MFS Emerging Markets Debt Fund | E&Y | July 31 | ||
MFS Emerging Markets Debt Local Currency Fund | E&Y | October 31 | ||
MFS Emerging Markets Equity Fund | E&Y | May 31 | ||
MFS Equity Income Fund | E&Y | July 31 | ||
MFS Equity Opportunities Fund | E&Y | October 31 | ||
MFS Georgia Municipal Bond Fund | D&T | March 31 | ||
MFS Global Bond Fund | E&Y | November 30 | ||
MFS Global Equity Fund | E&Y | October 31 | ||
MFS Global Growth Fund | D&T | October 31 | ||
MFS Global Multi-Asset Fund | E&Y | June 30 | ||
MFS Global Real Estate Fund | E&Y | August 31 | ||
MFS Global Alternative Strategy Fund | D&T | October 31 | ||
MFS Global High Yield Fund | D&T | January 31 | ||
MFS Global New Discovery Fund | E&Y | August 31 | ||
MFS Global Total Return Fund | E&Y | October 31 | ||
MFS Government Securities Fund | D&T | February 28 | ||
MFS Growth Allocation Fund | E&Y | May 31 | ||
MFS Growth Fund | D&T | November 30 | ||
MFS High Income Fund | D&T | January 31 | ||
MFS High Yield Pooled Portfolio | D&T | January 31 | ||
MFS Inflation-Adjusted Bond Fund | D&T | October 31 | ||
MFS Institutional International Equity Fund | D&T | June 30 | ||
MFS International Diversification Fund | D&T | May 31 | ||
MFS International Growth Fund | E&Y | May 31 | ||
MFS International New Discovery Fund | E&Y | September 30 | ||
MFS International Value Fund | E&Y | May 31 | ||
MFS Lifetime Income Fund | E&Y | April 30 | ||
MFS Lifetime 2020 Fund | E&Y | April 30 | ||
MFS Lifetime 2025 Fund | E&Y | April 30 | ||
MFS Lifetime 2030 Fund | E&Y | April 30 |
Schedule B-1
Fund Name | Independent Registered Public Accounting Firm | Fiscal Year End | ||
MFS Lifetime 2035 Fund | E&Y | April 30 | ||
MFS Lifetime 2040 Fund | E&Y | April 30 | ||
MFS Lifetime 2045 Fund | E&Y | April 30 | ||
MFS Lifetime 2050 Fund | E&Y | April 30 | ||
MFS Lifetime 2055 Fund | E&Y | April 30 | ||
MFS Lifetime 2060 Fund | E&Y | April 30 | ||
MFS Limited Maturity Fund | D&T | April 30 | ||
MFS Low Volatility Equity Fund | E&Y | August 31 | ||
MFS Low Volatility Global Equity Fund | D&T | August 31 | ||
MFS Managed Wealth Fund | E&Y | May 31 | ||
MFS Maryland Municipal Bond Fund | D&T | March 31 | ||
MFS Massachusetts Municipal Bond Fund | D&T | March 31 | ||
MFS Mid Cap Growth Fund | D&T | August 31 | ||
MFS Mid Cap Value Fund | E&Y | September 30 | ||
MFS Mississippi Municipal Bond Fund | D&T | March 31 | ||
MFS Moderate Allocation Fund | E&Y | May 31 | ||
MFS Municipal High Income Fund | E&Y | January 31 | ||
MFS Municipal Income Fund | D&T | March 31 | ||
MFS Municipal Limited Maturity Fund | D&T | April 30 | ||
MFS New Discovery Fund | E&Y | August 31 | ||
MFS New Discovery Value Fund | E&Y | February 28 | ||
MFS New York Municipal Income Fund | D&T | March 31 | ||
MFS North Carolina Municipal Income Fund | D&T | March 31 | ||
MFS Pennsylvania Municipal Bond Fund | D&T | March 31 | ||
MFS Research Fund | D&T | September 30 | ||
MFS Research International Fund | E&Y | August 31 | ||
MFS South Carolina Municipal Bond Fund | D&T | March 31 | ||
MFS Strategic Income Fund | E&Y | October 31 | ||
MFS Technology Fund | E&Y | August 31 | ||
MFS Tennessee Municipal Bond Fund | D&T | March 31 | ||
MFS Total Return Fund | D&T | September 30 | ||
MFS Total Return Bond Fund | D&T | April 30 | ||
MFS U.S. Government Cash Reserve Fund | D&T | August 31 | ||
MFS U.S. Government Money Market Fund | D&T | August 31 | ||
MFS Utilities Fund | E&Y | October 31 | ||
MFS Value Fund | E&Y | August 31 | ||
MFS Virginia Municipal Bond Fund | D&T | March 31 | ||
MFS West Virginia Municipal Bond Fund | D&T | March 31 |
Schedule B-2
Schedule C
Independent Registered Public Accounting Firm Fees
Fees billed by Ernst & Young LLP and Deloitte & Touche LLP in each of the last two fiscal years for services rendered to the funds are shown below. Schedule B identifies the independent registered public accounting firm for each fund.
December 31, 2015 | Audit Fees | Audit-Related Fees | Tax Fees | All Other Fees | ||||||||||||
Stand-Alone Funds: | ||||||||||||||||
Massachusetts Investors Trust | 47,464 | 0 | 6,727 | 1,345 | ||||||||||||
December 31, 2014 | Audit Fees | Audit-Related Fees | Tax Fees | All Other Fees | ||||||||||||
Stand-Alone Funds: | ||||||||||||||||
Massachusetts Investors Trust | 46,684 | 0 | 6,615 | 1,527 | ||||||||||||
November 30, 2015 | Audit Fees | Audit-Related Fees | Tax Fees | All Other Fees | ||||||||||||
MFS Series Trust II: | ||||||||||||||||
MFS Growth Fund | 52,098 | 0 | 6,727 | 2,060 | ||||||||||||
MFS Series Trust X | ||||||||||||||||
MFS Global Bond Fund | 52,510 | 0 | 9,936 | 1,034 | ||||||||||||
Stand-Alone Funds: | ||||||||||||||||
Massachusetts Investors Growth Stock Fund | 51,390 | 0 | 9,793 | 1,365 | ||||||||||||
November 30, 2014 | Audit Fees | Audit-Related Fees | Tax Fees | All Other Fees | ||||||||||||
MFS Series Trust II: | ||||||||||||||||
MFS Growth Fund | 51,241 | 0 | 6,615 | 3,345 | ||||||||||||
MFS Series Trust X | ||||||||||||||||
MFS Global Bond Fund3 | 51,645 | 0 | 9,545 | 0 | ||||||||||||
Stand-Alone Funds: | ||||||||||||||||
Massachusetts Investors Growth Stock Fund | 50,545 | 0 | 9,621 | 0 | ||||||||||||
October 31, 2016 | Audit Fees | Audit-Related Fees | Tax Fees | All Other Fees | ||||||||||||
MFS Series Trust VI: | ||||||||||||||||
MFS Global Equity Fund | 48,653 | 0 | 9,409 | 1,856 | ||||||||||||
MFS Global Total Return Fund | 56,755 | 0 | 10,697 | 1,606 | ||||||||||||
MFS Utilities Fund | 44,503 | 0 | 8,678 | 3,184 | ||||||||||||
MFS Series Trust VIII: | ||||||||||||||||
MFS Global Growth Fund | 57,567 | 0 | 6,092 | 0 | ||||||||||||
MFS Strategic Income Fund | 53,494 | 0 | 10,018 | 1,105 | ||||||||||||
MFS Series Trust IX: | ||||||||||||||||
MFS Inflation-Adjusted Bond Fund | 33,975 | 0 | 4,004 | 0 | ||||||||||||
MFS Series Trust X | ||||||||||||||||
MFS Emerging Markets Debt Local Currency Fund | 55,597 | 0 | 9,711 | 7,337 | ||||||||||||
MFS Series Trust XII: | ||||||||||||||||
MFS Equity Opportunities Fund | 36,654 | 0 | 7,772 | 1,194 | ||||||||||||
MFS Series Trust XV: | ||||||||||||||||
MFS Commodity Strategy Fund | 60,474 | 0 | 11,619 | 0 | ||||||||||||
MFS Global Alternative Strategy Fund | 64,097 | 0 | 11,432 | 0 |
Schedule C-1
October 31, 2015 | Audit Fees | Audit-Related Fees | Tax Fees | All Other Fees | ||||||||||||
MFS Series Trust VI: | ||||||||||||||||
MFS Global Equity Fund | 48,653 | 0 | 9,295 | 1,112 | ||||||||||||
MFS Global Total Return Fund | 56,755 | 0 | 10,583 | 1,078 | ||||||||||||
MFS Utilities Fund | 44,503 | 0 | 8,564 | 1,306 | ||||||||||||
MFS Series Trust VIII: | ||||||||||||||||
MFS Global Growth Fund | 57,567 | 0 | 6,092 | 422 | ||||||||||||
MFS Strategic Income Fund | 53,494 | 0 | 9,984 | 1,016 | ||||||||||||
MFS Series Trust IX: | ||||||||||||||||
MFS Inflation-Adjusted Bond Fund | 33,975 | 0 | 4,004 | 611 | ||||||||||||
MFS Series Trust X | ||||||||||||||||
MFS Emerging Markets Debt Local Currency Fund | 55,597 | 0 | 9,677 | 5,944 | ||||||||||||
MFS Series Trust XII: | ||||||||||||||||
MFS Equity Opportunities Fund | 36,654 | 0 | 8,052 | 1,026 | ||||||||||||
MFS Series Trust XV: | ||||||||||||||||
MFS Commodity Strategy Fund | 60,474 | 0 | 11,619 | 20,008 | ||||||||||||
MFS Global Alternative Strategy Fund | 64,097 | 0 | 11,432 | 16,526 | ||||||||||||
September 30, 2016 | Audit Fees | Audit-Related Fees | Tax Fees | All Other Fees | ||||||||||||
MFS Series Trust V: | ||||||||||||||||
MFS International New Discovery Fund | 47,323 | 0 | 9,073 | 2,968 | ||||||||||||
MFS Research Fund | 42,958 | 0 | 6,601 | 0 | ||||||||||||
MFS Total Return Fund | 67,711 | 0 | 9,135 | 0 | ||||||||||||
MFS Series Trust XI: | ||||||||||||||||
MFS Blended Research Core Equity Fund | 43,426 | 0 | 7,806 | 0 | ||||||||||||
MFS Mid Cap Value Fund | 28,046 | 0 | 5,563 | 2,449 | ||||||||||||
September 30, 2015 | Audit Fees | Audit-Related Fees | Tax Fees | All Other Fees | ||||||||||||
MFS Series Trust V: | ||||||||||||||||
MFS International New Discovery Fund | 47,323 | 0 | 9,003 | 1,265 | ||||||||||||
MFS Research Fund | 42,958 | 0 | 6,601 | 2,002 | ||||||||||||
MFS Total Return Fund | 67,711 | 0 | 9,135 | 2,510 | ||||||||||||
MFS Series Trust XI: | ||||||||||||||||
MFS Blended Research Core Equity Fund | 43,426 | 0 | 7,806 | 1,087 | ||||||||||||
MFS Mid Cap Value Fund | 28,046 | 0 | 5,493 | 1,179 | ||||||||||||
August 31, 2016 | Audit Fees | Audit-Related Fees | Tax Fees | All Other Fees | ||||||||||||
MFS Series Trust I: | ||||||||||||||||
MFS Core Equity Fund | 44,492 | 0 | 8,634 | 1,517 | ||||||||||||
MFS Low Volatility Equity Fund | 38,525 | 0 | 8,246 | 1,008 | ||||||||||||
MFS Low Volatility Global Equity Fund | 44,531 | 0 | 6,575 | 0 | ||||||||||||
MFS New Discovery Fund | 44,503 | 0 | 8,634 | 1,560 | ||||||||||||
MFS Research International Fund | 47,430 | 0 | 9,073 | 3,849 | ||||||||||||
MFS Technology Fund | 44,492 | 0 | 8,634 | 1,155 | ||||||||||||
MFS U.S. Government Cash Reserve Fund | 31,401 | 0 | 3,182 | 0 | ||||||||||||
MFS Value Fund | 44,618 | 0 | 8,634 | 14,899 | ||||||||||||
MFS Series Trust IV: | ||||||||||||||||
MFS Blended Research Emerging Markets Equity Fund1 | 25,800 | 0 | 9,613 | 2,001 | ||||||||||||
MFS Blended Research Global Equity Fund1 | 24,800 | 0 | 9,613 | 2,001 | ||||||||||||
MFS Blended Research International Equity Fund1 | 25,800 | 0 | 9,613 | 2,003 | ||||||||||||
MFS Global New Discovery Fund | 44,145 | 0 | 8,591 | 1,010 | ||||||||||||
MFS Mid Cap Growth Fund | 44,416 | 0 | 6,601 | 0 | ||||||||||||
MFS U.S. Government Money Market Fund | 31,171 | 0 | 3,752 | 0 |
Schedule C-2
August 31, 2016 | Audit Fees | Audit-Related Fees | Tax Fees | All Other Fees | ||||||||||||
MFS Series Trust XIII | ||||||||||||||||
MFS Global Real Estate Fund | 51,148 | 0 | 9,987 | 1,183 | ||||||||||||
August 31, 2015 | Audit Fees | Audit-Related Fees | Tax Fees | All Other Fees | ||||||||||||
MFS Series Trust I: | ||||||||||||||||
MFS Core Equity Fund | 44,492 | 0 | 8,564 | 1,068 | ||||||||||||
MFS Low Volatility Equity Fund | 29,212 | 0 | 8,212 | 1,001 | ||||||||||||
MFS Low Volatility Global Equity Fund | 44,531 | 0 | 6,575 | 1,002 | ||||||||||||
MFS New Discovery Fund | 44,503 | 0 | 8,564 | 1,078 | ||||||||||||
MFS Research International Fund | 47,430 | 0 | 9,003 | 1,387 | ||||||||||||
MFS Technology Fund | 44,492 | 0 | 8,564 | 1,019 | ||||||||||||
MFS U.S. Government Cash Reserve Fund | 31,401 | 0 | 3,182 | 1,080 | ||||||||||||
MFS Value Fund | 44,618 | 0 | 8,564 | 2,823 | ||||||||||||
MFS Series Trust IV: | ||||||||||||||||
MFS Blended Research Emerging Markets Equity Fund* | N/A | N/A | N/A | N/A | ||||||||||||
MFS Blended Research Global Equity Fund* | N/A | N/A | N/A | N/A | ||||||||||||
MFS Blended Research International Equity Fund* | N/A | N/A | N/A | N/A | ||||||||||||
MFS Global New Discovery Fund | 44,145 | 0 | 8,521 | 1,001 | ||||||||||||
MFS Mid Cap Growth Fund | 44,416 | 0 | 6,601 | 1,358 | ||||||||||||
MFS U.S. Government Money Market Fund | 31,171 | 0 | 3,752 | 1,085 | ||||||||||||
MFS Series Trust XIII | ||||||||||||||||
MFS Global Real Estate Fund2 | 48,148 | 0 | 9,917 | 1,024 | ||||||||||||
July 31, 2016 | Audit Fees | Audit-Related Fees | Tax Fees | All Other Fees | ||||||||||||
MFS Series Trust VII | ||||||||||||||||
MFS Equity Income Fund | 38,255 | 0 | 8,502 | 1,038 | ||||||||||||
MFS Series Trust X: | ||||||||||||||||
MFS Emerging Markets Debt Fund | 57,722 | 0 | 10,303 | 2,785 | ||||||||||||
July 31, 2015 | Audit Fees | Audit-Related Fees | Tax Fees | All Other Fees | ||||||||||||
MFS Series Trust VII | ||||||||||||||||
MFS Equity Income Fund | 38,255 | 0 | 8,451 | 568 | ||||||||||||
MFS Series Trust X: | ||||||||||||||||
MFS Emerging Markets Debt Fund | 57,722 | 0 | 10,269 | 568 | ||||||||||||
June 30, 2016 | Audit Fees | Audit-Related Fees | Tax Fees | All Other Fees | ||||||||||||
MFS Institutional Trust | ||||||||||||||||
MFS Institutional International Equity Fund | 40,923 | 0 | 6,727 | 0 | ||||||||||||
MFS Series Trust XVI | ||||||||||||||||
MFS Global Multi-Asset Fund | 51,223 | 0 | 10,285 | 4,706 | ||||||||||||
June 30, 2015 | Audit Fees | Audit-Related Fees | Tax Fees | All Other Fees | ||||||||||||
MFS Institutional Trust | ||||||||||||||||
MFS Institutional International Equity Fund | 40,923 | 0 | 6,727 | 2,558 | ||||||||||||
MFS Series Trust XVI | ||||||||||||||||
MFS Global Multi-Asset Fund | 51,223 | 0 | 10,234 | 3,147 |
Schedule C-3
May 31, 2016 | Audit Fees | Audit-Related Fees | Tax Fees | All Other Fees | ||||||||||||
MFS Series Trust X: | ||||||||||||||||
MFS Absolute Return Fund | 72,061 | 0 | 11,453 | 0 | ||||||||||||
MFS Aggressive Growth Allocation Fund | 27,811 | 0 | 5,095 | 2,207 | ||||||||||||
MFS Blended Research Growth Equity Fund1 | 35,200 | 0 | 8,500 | 0 | ||||||||||||
MFS Blended Research Mid Cap Equity Fund* | N/A | N/A | N/A | N/A | ||||||||||||
MFS Blended Research Small Cap Equity Fund1 | 35,200 | 0 | 8,500 | 0 | ||||||||||||
MFS Blended Research Value Equity Fund1 | 35,200 | 0 | 8,500 | 0 | ||||||||||||
MFS Conservative Allocation Fund | 27,811 | 0 | 5,095 | 2,698 | ||||||||||||
MFS Emerging Markets Equity Fund | 50,960 | 0 | 9,826 | 1,853 | ||||||||||||
MFS Growth Allocation Fund | 27,811 | 0 | 5,095 | 3,543 | ||||||||||||
MFS International Diversification Fund | 28,999 | 0 | 7,172 | 0 | ||||||||||||
MFS International Growth Fund | 51,068 | 0 | 9,826 | 3,087 | ||||||||||||
MFS International Value Fund | 51,068 | 0 | 9,826 | 10,741 | ||||||||||||
MFS Managed Wealth Fund | 24,800 | 0 | 7,763 | 8,056 | ||||||||||||
MFS Moderate Allocation Fund | 27,811 | 0 | 5,095 | 3,970 | ||||||||||||
May 31, 2015 | Audit Fees | Audit-Related Fees | Tax Fees | All Other Fees | ||||||||||||
MFS Series Trust X: | ||||||||||||||||
MFS Absolute Return Fund | 72,061 | 0 | 11,453 | 13,200 | ||||||||||||
MFS Aggressive Growth Allocation Fund | 27,811 | 0 | 5,095 | 0 | ||||||||||||
MFS Blended Research Growth Equity Fund* | N/A | N/A | N/A | N/A | ||||||||||||
MFS Blended Research Mid Cap Equity Fund* | N/A | N/A | N/A | N/A | ||||||||||||
MFS Blended Research Small Cap Equity Fund* | N/A | N/A | N/A | N/A | ||||||||||||
MFS Blended Research Value Equity Fund* | N/A | N/A | N/A | N/A | ||||||||||||
MFS Conservative Allocation Fund | 27,811 | 0 | 5,095 | 0 | ||||||||||||
MFS Emerging Markets Equity Fund | 50,960 | 0 | 9,775 | 0 | ||||||||||||
MFS Growth Allocation Fund | 27,811 | 0 | 5,095 | 0 | ||||||||||||
MFS International Diversification Fund | 28,999 | 0 | 7,172 | 1,953 | ||||||||||||
MFS International Growth Fund | 51,068 | 0 | 9,775 | 0 | ||||||||||||
MFS International Value Fund | 51,068 | 0 | 9,775 | 0 | ||||||||||||
MFS Managed Wealth Fund | 16,800 | 0 | 7,500 | 0 | ||||||||||||
MFS Moderate Allocation Fund | 27,811 | 0 | 5,095 | 0 | ||||||||||||
April 30, 2016 | Audit Fees | Audit-Related Fees | Tax Fees | All Other Fees | ||||||||||||
MFS Series Trust IX: | ||||||||||||||||
MFS Corporate Bond Fund | 61,981 | 0 | 6,885 | 0 | ||||||||||||
MFS Limited Maturity Fund | 53,800 | 0 | 6,789 | 0 | ||||||||||||
MFS Municipal Limited Maturity Fund | 44,430 | 0 | 6,221 | 0 | ||||||||||||
MFS Total Return Bond Fund | 65,179 | 0 | 6,789 | 0 | ||||||||||||
MFS Series Trust XII: | ||||||||||||||||
MFS Lifetime Income Fund | 30,799 | 0 | 5,095 | 1,202 | ||||||||||||
MFS Lifetime 2020 Fund | 27,799 | 0 | 5,095 | 1,134 | ||||||||||||
MFS Lifetime 2025 Fund | 27,172 | 0 | 4,992 | 1,049 | ||||||||||||
MFS Lifetime 2030 Fund | 27,799 | 0 | 5,095 | 1,151 | ||||||||||||
MFS Lifetime 2035 Fund | 27,172 | 0 | 4,992 | 1,040 | ||||||||||||
MFS Lifetime 2040 Fund | 27,799 | 0 | 5,095 | 1,116 | ||||||||||||
MFS Lifetime 2045 Fund | 27,172 | 0 | 4,992 | 1,024 | ||||||||||||
MFS Lifetime 2050 Fund | 27,272 | 0 | 5,072 | 1,035 | ||||||||||||
MFS Lifetime 2055 Fund | 27,172 | 0 | 4,992 | 1,004 | ||||||||||||
MFS Lifetime 2060 Fund* | N/A | N/A | N/A | N/A |
Schedule C-4
April 30, 2015 | Audit Fees | Audit-Related Fees | Tax Fees | All Other Fees | ||||||||||||
MFS Series Trust IX: | ||||||||||||||||
MFS Corporate Bond Fund | 61,981 | 0 | 6,885 | 1,590 | ||||||||||||
MFS Limited Maturity Fund | 53,800 | 0 | 6,789 | 1,353 | ||||||||||||
MFS Municipal Limited Maturity Fund | 44,430 | 0 | 6,221 | 1,349 | ||||||||||||
MFS Total Return Bond Fund | 65,179 | 0 | 6,789 | 1,922 | ||||||||||||
MFS Series Trust XII: | ||||||||||||||||
MFS Lifetime Income Fund | 27,799 | 0 | 5,095 | 0 | ||||||||||||
MFS Lifetime 2020 Fund | 27,799 | 0 | 5,095 | 0 | ||||||||||||
MFS Lifetime 2025 Fund | 27,172 | 0 | 4,992 | 0 | ||||||||||||
MFS Lifetime 2030 Fund | 27,799 | 0 | 5,095 | 0 | ||||||||||||
MFS Lifetime 2035 Fund | 27,172 | 0 | 4,992 | 0 | ||||||||||||
MFS Lifetime 2040 Fund | 27,799 | 0 | 5,095 | 0 | ||||||||||||
MFS Lifetime 2045 Fund | 27,172 | 0 | 4,992 | 0 | ||||||||||||
MFS Lifetime 2050 Fund | 27,272 | 0 | 5,072 | 0 | ||||||||||||
MFS Lifetime 2055 Fund | 27,172 | 0 | 4,992 | 0 | ||||||||||||
MFS Lifetime 2060 Fund* | N/A | N/A | N/A | N/A | ||||||||||||
March 31, 2016 | Audit Fees | Audit-Related Fees | Tax Fees | All Other Fees | ||||||||||||
MFS Municipal Series Trust: | ||||||||||||||||
MFS Alabama Municipal Bond Fund | 44,220 | 0 | 5,779 | 0 | ||||||||||||
MFS Arkansas Municipal Bond Fund | 44,220 | 0 | 5,779 | 0 | ||||||||||||
MFS California Municipal Bond Fund | 44,220 | 0 | 5,779 | 0 | ||||||||||||
MFS Georgia Municipal Bond Fund | 44,220 | 0 | 5,779 | 0 | ||||||||||||
MFS Maryland Municipal Bond Fund | 44,220 | 0 | 5,779 | 0 | ||||||||||||
MFS Massachusetts Municipal Bond Fund | 44,220 | 0 | 5,779 | 0 | ||||||||||||
MFS Mississippi Municipal Bond Fund | 44,220 | 0 | 5,779 | 0 | ||||||||||||
MFS Municipal Income Fund | 50,241 | 0 | 5,840 | 0 | ||||||||||||
MFS New York Municipal Bond Fund | 44,220 | 0 | 5,779 | 0 | ||||||||||||
MFS North Carolina Municipal Bond Fund | 44,220 | 0 | 5,779 | 0 | ||||||||||||
MFS Pennsylvania Municipal Bond Fund | 44,220 | 0 | 5,779 | 0 | ||||||||||||
MFS South Carolina Municipal Bond Fund | 44,220 | 0 | 5,779 | 0 | ||||||||||||
MFS Tennessee Municipal Bond Fund | 44,220 | 0 | 5,779 | 0 | ||||||||||||
MFS Virginia Municipal Bond Fund | 44,220 | 0 | 5,779 | 0 | ||||||||||||
MFS West Virginia Municipal Bond Fund | 44,220 | 0 | 5,779 | 0 | ||||||||||||
March 31, 2015 | Audit Fees | Audit-Related Fees | Tax Fees | All Other Fees | ||||||||||||
MFS Municipal Series Trust: | ||||||||||||||||
MFS Alabama Municipal Bond Fund | 44,077 | 0 | 5,779 | 1,012 | ||||||||||||
MFS Arkansas Municipal Bond Fund | 44,077 | 0 | 5,779 | 1,040 | ||||||||||||
MFS California Municipal Bond Fund | 44,077 | 0 | 5,779 | 1,061 | ||||||||||||
MFS Georgia Municipal Bond Fund | 44,077 | 0 | 5,779 | 1,014 | ||||||||||||
MFS Maryland Municipal Bond Fund | 44,077 | 0 | 5,779 | 1,021 | ||||||||||||
MFS Massachusetts Municipal Bond Fund | 44,077 | 0 | 5,779 | 1,053 | ||||||||||||
MFS Mississippi Municipal Bond Fund | 44,077 | 0 | 5,779 | 1,020 | ||||||||||||
MFS Municipal Income Fund | 50,241 | 0 | 5,840 | 1,465 | ||||||||||||
MFS New York Municipal Bond Fund | 44,077 | 0 | 5,779 | 1,042 | ||||||||||||
MFS North Carolina Municipal Bond Fund | 44,077 | 0 | 5,779 | 1,076 | ||||||||||||
MFS Pennsylvania Municipal Bond Fund | 44,077 | 0 | 5,779 | 1,026 | ||||||||||||
MFS South Carolina Municipal Bond Fund | 44,077 | 0 | 5,779 | 1,039 | ||||||||||||
MFS Tennessee Municipal Bond Fund | 44,077 | 0 | 5,779 | 1,024 | ||||||||||||
MFS Virginia Municipal Bond Fund | 44,077 | 0 | 5,779 | 1,064 | ||||||||||||
MFS West Virginia Municipal Bond Fund | 44,077 | 0 | 5,779 | 1,027 |
Schedule C-5
February 29, 2016 | Audit Fees | Audit-Related Fees | Tax Fees | All Other Fees | ||||||||||||
MFS Series Trust XIII: | ||||||||||||||||
MFS Diversified Income Fund | 54,646 | 0 | 8,052 | 2,169 | ||||||||||||
MFS Government Securities Fund | 51,539 | 0 | 6,789 | 0 | ||||||||||||
MFS New Discovery Value Fund | 43,100 | 0 | 8,102 | 1,139 | ||||||||||||
February 28, 2015 | Audit Fees | Audit-Related Fees | Tax Fees | All Other Fees | ||||||||||||
MFS Series Trust XIII: | ||||||||||||||||
MFS Diversified Income Fund | 54,646 | 0 | 8,035 | 0 | ||||||||||||
MFS Government Securities Fund | 51,539 | 0 | 6,789 | 1,470 | ||||||||||||
MFS New Discovery Value Fund | 43,100 | 0 | 8,084 | 0 | ||||||||||||
January 31, 2016 | Audit Fees | Audit-Related Fees | Tax Fees | All Other Fees | ||||||||||||
MFS Series Trust III: | ||||||||||||||||
MFS High Income Fund | 68,273 | 0 | 8,376 | 0 | ||||||||||||
MFS Global High Yield Fund | 72,879 | 0 | 6,474 | 0 | ||||||||||||
MFS High Yield Pooled Portfolio | 31,410 | 0 | 8,136 | 0 | ||||||||||||
MFS Municipal High Income Fund | 50,763 | 0 | 9,249 | 2,182 | ||||||||||||
January 31, 2015 | Audit Fees | Audit-Related Fees | Tax Fees | All Other Fees | ||||||||||||
MFS Series Trust III: | ||||||||||||||||
MFS High Income Fund | 68,273 | 0 | 8,376 | 1,373 | ||||||||||||
MFS Global High Yield Fund | 72,879 | 0 | 6,474 | 1,150 | ||||||||||||
MFS High Yield Pooled Portfolio | 31,410 | 0 | 8,136 | 1,313 | ||||||||||||
MFS Municipal High Income Fund | 50,763 | 0 | 9,249 | 0 |
* | Non-applicable – The fund commenced investment operations after the reporting period. |
1 | The fund commenced investment operations on September 15, 2015. Fees reported for the 2015 fiscal year include fees billed during the period of September 15, 2015 through the fund’s fiscal year end. |
2 | Effective March 1, 2015, the fiscal year end of the fund changed from February 28th to August 31st. Fees reported for the fund for the fiscal year end August 31, 2015 only include fees billed during the period of March 1, 2015 through August 31, 2015. For the period from March 1, 2014 to February 28, 2015, the fees billed included $45,148 for audit services and $9,900 for tax services and did not include any fees for audit-related or other services. |
3 | Effective November 30, 2014, the fiscal year end of the fund changed from May 31st to November 30th. Fees reported for the fund for the fiscal year end November 30, 2014 only include fees billed during the period of June 1, 2014 through November 30, 2014. For the period from June 1, 2013 to May 31, 2014, the fees billed included $51,645 for audit services and $9,998 for tax services and did not include any fees for audit-related or other services. |
Fees billed by Ernst & Young LLP and Deloitte & Touche LLP in each of the last two fiscal years for services provided to each fund’s Service Affiliates that relate directly to such fund’s operations and financial reporting are shown below. Schedule B identifies the independent registered public accounting firm for each fund. Service Affiliates include each fund’s investment adviser, Massachusetts Financial Services Company (“MFS”), various entities either controlling, controlled by, or under common control with MFS that provide ongoing services to the fund.
December 31, 2015 | Audit-Related Fees# | Tax Fees# | All Other Fees# | |||||||||
Stand-Alone Funds: | ||||||||||||
Service Affiliates of Massachusetts Investors Trust | 186,019 | 0 | 5,000 | |||||||||
December 31, 2014 | Audit-Related Fees# | Tax Fees# | All Other Fees# | |||||||||
Stand-Alone Funds: | ||||||||||||
Service Affiliates of Massachusetts Investors Trust | 1,686,271 | 0 | 0 | |||||||||
November 30, 2015 | Audit-Related Fees# | Tax Fees# | All Other Fees# | |||||||||
MFS Series Trust II: | ||||||||||||
Service Affiliates of MFS Growth Fund | 186,019 | 0 | 5,000 |
Schedule C-6
November 30, 2015 | Audit-Related Fees# | Tax Fees# | All Other Fees# | |||||||||
MFS Series Trust X | ||||||||||||
Service Affiliates of MFS Global Bond Fund | 1,120,675 | 0 | 99,446 | |||||||||
Stand-Alone Funds: | ||||||||||||
Service Affiliates of Massachusetts Investors Growth Stock Fund | 1,120,675 | 0 | 99,446 | |||||||||
November 30, 2014 | Audit-Related Fees# | Tax Fees# | All Other Fees# | |||||||||
MFS Series Trust II: | ||||||||||||
Service Affiliates of MFS Growth Fund | 1,945,771 | 0 | 0 | |||||||||
MFS Series Trust X | ||||||||||||
Service Affiliates of MFS Global Bond Fund3 | 0 | 0 | 0 | |||||||||
Stand-Alone Funds: | ||||||||||||
Service Affiliates of Massachusetts Investors Growth Stock Fund | 0 | 0 | 0 | |||||||||
October 31, 2016 | Audit-Related Fees# | Tax Fees# | All Other Fees# | |||||||||
MFS Series Trust VI: | ||||||||||||
Service Affiliates of MFS Global Equity Fund | 1,612,499 | 0 | 116,023 | |||||||||
Service Affiliates of MFS Global Total Return Fund | 1,612,499 | 0 | 116,023 | |||||||||
Service Affiliates of MFS Utilities Fund | 1,612,499 | 0 | 116,023 | |||||||||
MFS Series Trust VIII: | ||||||||||||
Service Affiliates of MFS Global Growth Fund | 0 | 0 | 5,000 | |||||||||
Service Affiliates of MFS Strategic Income Fund | 1,612,499 | 0 | 116,023 | |||||||||
MFS Series Trust IX: | ||||||||||||
Service Affiliates of MFS Inflation-Adjusted Bond Fund | 0 | 0 | 5,000 | |||||||||
MFS Series Trust X | ||||||||||||
Service Affiliates of MFS Emerging Markets Debt Local Currency Fund | 1,612,499 | 0 | 116,023 | |||||||||
MFS Series Trust XII: | ||||||||||||
Service Affiliates of MFS Equity Opportunities Fund | 1,612,499 | 0 | 116,023 | |||||||||
MFS Series Trust XV: | ||||||||||||
Service Affiliates of MFS Commodity Strategy Fund | 0 | 0 | 5,000 | |||||||||
Service Affiliates of MFS Global Alternative Strategy Fund | 0 | 0 | 5,000 | |||||||||
October 31, 2015 | Audit-Related Fees# | Tax Fees# | All Other Fees# | |||||||||
MFS Series Trust VI: | ||||||||||||
Service Affiliates of MFS Global Equity Fund | 920,675 | 0 | 99,446 | |||||||||
Service Affiliates of MFS Global Total Return Fund | 920,675 | 0 | 99,446 | |||||||||
Service Affiliates of MFS Utilities Fund | 920,675 | 0 | 99,446 | |||||||||
MFS Series Trust VIII: | ||||||||||||
Service Affiliates of MFS Global Growth Fund | 628,289 | 0 | 5,000 | |||||||||
Service Affiliates of MFS Strategic Income Fund | 920,675 | 0 | 99,446 | |||||||||
MFS Series Trust IX: | ||||||||||||
Service Affiliates of MFS Inflation-Adjusted Bond Fund | 628,289 | 0 | 5,000 | |||||||||
MFS Series Trust X | ||||||||||||
Service Affiliates of MFS Emerging Markets Debt Local Currency Fund | 920,675 | 0 | 99,446 | |||||||||
MFS Series Trust XII: | ||||||||||||
Service Affiliates of MFS Equity Opportunities Fund | 920,675 | 0 | 99,446 | |||||||||
MFS Series Trust XV: | ||||||||||||
Service Affiliates of MFS Commodity Strategy Fund | 628,289 | 0 | 5,000 | |||||||||
Service Affiliates of MFS Global Alternative Strategy Fund | 628,289 | 0 | 5,000 |
Schedule C-7
September 30, 2016 | Audit-Related Fees# | Tax Fees# | All Other Fees# | |||||||||
MFS Series Trust V: | ||||||||||||
Service Affiliates of MFS International New Discovery Fund | 1,612,499 | 0 | 132,596 | |||||||||
Service Affiliates of MFS Research Fund | 0 | 0 | 5,000 | |||||||||
Service Affiliates of MFS Total Return Fund | 0 | 0 | 5,000 | |||||||||
MFS Series Trust XI: | ||||||||||||
Service Affiliates of MFS Blended Research Core Equity Fund | 0 | 0 | 5,000 | |||||||||
Service Affiliates of MFS Mid Cap Value Fund | 1,612,499 | 0 | 132,596 | |||||||||
September 30, 2015 | Audit-Related Fees# | Tax Fees# | All Other Fees# | |||||||||
MFS Series Trust V: | ||||||||||||
Service Affiliates of MFS International New Discovery Fund | 920,675 | 0 | 49,723 | |||||||||
Service Affiliates of MFS Research Fund | 968,289 | 0 | 5,000 | |||||||||
Service Affiliates of MFS Total Return Fund | 968,289 | 0 | 5,000 | |||||||||
MFS Series Trust XI: | ||||||||||||
Service Affiliates of MFS Blended Research Core Equity Fund | 968,289 | 0 | 5,000 | |||||||||
Service Affiliates of MFS Mid Cap Value Fund | 920,675 | 0 | 49,723 | |||||||||
August 31, 2016 | Audit-Related Fees# | Tax Fees# | All Other Fees# | |||||||||
MFS Series Trust I: | ||||||||||||
Service Affiliates of MFS Core Equity Fund | 1,612,499 | 0 | 99,446 | |||||||||
Service Affiliates of MFS Low Volatility Equity Fund | 1,612,499 | 0 | 99,446 | |||||||||
Service Affiliates of MFS Low Volatility Global Equity Fund | 0 | 0 | 5,000 | |||||||||
Service Affiliates of MFS New Discovery Fund | 1,612,499 | 0 | 99,446 | |||||||||
Service Affiliates of MFS Research International Fund | 1,612,499 | 0 | 99,446 | |||||||||
Service Affiliates of MFS Technology Fund | 1,612,499 | 0 | 99,446 | |||||||||
Service Affiliates of MFS U.S. Government Cash Reserve Fund | 0 | 0 | 5,000 | |||||||||
Service Affiliates of MFS Value Fund | 1,612,499 | 0 | 99,446 | |||||||||
MFS Series Trust IV: | ||||||||||||
Service Affiliates of MFS Blended Research Emerging Markets Equity Fund | 1,612,499 | 0 | 99,446 | |||||||||
Service Affiliates of MFS Blended Research Global Equity Fund | 1,612,499 | 0 | 99,446 | |||||||||
Service Affiliates of MFS Blended Research International Equity Fund | 1,612,499 | 0 | 99,446 | |||||||||
Service Affiliates of MFS Global New Discovery Fund | 1,612,499 | 0 | 99,446 | |||||||||
Service Affiliates of MFS Mid Cap Growth Fund | 0 | 0 | 5,000 | |||||||||
Service Affiliates of MFS U.S. Government Money Market Fund | 0 | 0 | 5,000 | |||||||||
MFS Series Trust XIII | ||||||||||||
Service Affiliates of MFS Global Real Estate Fund | 1,612,499 | 0 | 99,446 | |||||||||
August 31, 2015 | Audit-Related Fees# | Tax Fees# | All Other Fees# | |||||||||
MFS Series Trust I: | ||||||||||||
Service Affiliates of MFS Core Equity Fund | 920,675 | 0 | 49,723 | |||||||||
Service Affiliates of MFS Low Volatility Equity Fund | 920,675 | 0 | 49,723 | |||||||||
Service Affiliates of MFS Low Volatility Global Equity Fund | 968,289 | 0 | 5,000 | |||||||||
Service Affiliates of MFS New Discovery Fund | 920,675 | 0 | 49,723 | |||||||||
Service Affiliates of MFS Research International Fund | 920,675 | 0 | 49,723 | |||||||||
Service Affiliates of MFS Technology Fund | 920,675 | 0 | 49,723 | |||||||||
Service Affiliates of MFS U.S. Government Cash Reserve Fund | 968,289 | 0 | 5,000 | |||||||||
Service Affiliates of MFS Value Fund | 920,675 | 0 | 49,723 |
Schedule C-8
August 31, 2015 | Audit-Related Fees# | Tax Fees# | All Other Fees# | |||||||||
MFS Series Trust IV: | ||||||||||||
Service Affiliates of MFS Blended Research Emerging Markets Equity Fund1 | 920,675 | 0 | 49,723 | |||||||||
Service Affiliates of MFS Blended Research Global Equity Fund1 | 920,675 | 0 | 49,723 | |||||||||
Service Affiliates of MFS Blended Research International Equity Fund1 | 920,675 | 0 | 49,723 | |||||||||
Service Affiliates of MFS Global New Discovery Fund | 920,675 | 0 | 49,723 | |||||||||
Service Affiliates of MFS Mid Cap Growth Fund | 968,289 | 0 | 5,000 | |||||||||
Service Affiliates of MFS U.S. Government Money Market Fund | 968,289 | 0 | 5,000 | |||||||||
MFS Series Trust XIII | ||||||||||||
Service Affiliates of MFS Global Real Estate Fund2 | 920,675 | 0 | 49,723 | |||||||||
July 31, 2016 | Audit-Related Fees# | Tax Fees# | All Other Fees# | |||||||||
MFS Series Trust VII | ||||||||||||
Service Affiliates of MFS Equity Income Fund | 1,800,337 | 0 | 149,169 | |||||||||
MFS Series Trust X: | ||||||||||||
Service Affiliates of MFS Emerging Markets Debt Fund | 1,800,337 | 0 | 149,169 | |||||||||
July 31, 2015 | Audit-Related Fees# | Tax Fees# | All Other Fees# | |||||||||
MFS Series Trust VII | ||||||||||||
Service Affiliates of MFS Equity Income Fund | 597,838 | 0 | 0 | |||||||||
MFS Series Trust X: | ||||||||||||
Service Affiliates of MFS Emerging Markets Debt Fund | 597,838 | 0 | 0 | |||||||||
June 30, 2016 | Audit-Related Fees# | Tax Fees# | All Other Fees# | |||||||||
MFS Institutional Trust | ||||||||||||
Service Affiliates of MFS Institutional International Equity Fund | 0 | 0 | 5,000 | |||||||||
MFS Series Trust XVI | ||||||||||||
Service Affiliates of MFS Global Multi-Asset Fund | 1,800,337 | 0 | 149,169 | |||||||||
June 30, 2015 | Audit-Related Fees# | Tax Fees# | All Other Fees# | |||||||||
MFS Institutional Trust | ||||||||||||
Service Affiliates of MFS Institutional International Equity Fund | 1,017,120 | 0 | 5,000 | |||||||||
MFS Series Trust XVI | ||||||||||||
Service Affiliates of MFS Global Multi-Asset Fund | 597,838 | 0 | 0 | |||||||||
May 31, 2016 | Audit-Related Fees# | Tax Fees# | All Other Fees# | |||||||||
MFS Series Trust X: | ||||||||||||
Service Affiliates of MFS Absolute Return Fund | 0 | 0 | 5,000 | |||||||||
Service Affiliates of MFS Aggressive Growth Allocation Fund | 1,983,175 | 0 | 149,169 | |||||||||
Service Affiliates of MFS Blended Research Growth Equity Fund1 | 0 | 0 | 5,000 | |||||||||
Service Affiliates of MFS Blended Research Mid Cap Equity Fund* | N/A | N/A | N/A | |||||||||
Service Affiliates of MFS Blended Research Small Cap Equity Fund1 | 0 | 0 | 5,000 | |||||||||
Service Affiliates of MFS Blended Research Value Equity Fund1 | 0 | 0 | 5,000 | |||||||||
Service Affiliates of MFS Conservative Allocation Fund | 1,983,175 | 0 | 149,169 | |||||||||
Service Affiliates of MFS Emerging Markets Equity Fund | 1,983,175 | 0 | 149,169 | |||||||||
Service Affiliates of MFS Growth Allocation Fund | 1,983,175 | 0 | 149,169 | |||||||||
Service Affiliates of MFS International Diversification Fund | 0 | 0 | 5,000 | |||||||||
Service Affiliates of MFS International Growth Fund | 1,983,175 | 0 | 149,169 | |||||||||
Service Affiliates of MFS International Value Fund | 1,983,175 | 0 | 149,169 | |||||||||
Service Affiliates of MFS Managed Wealth Fund | 1,983,175 | 0 | 149,169 | |||||||||
Service Affiliates of MFS Moderate Allocation Fund | 1,983,175 | 0 | 149,169 |
Schedule C-9
May 31, 2015 | Audit-Related Fees# | Tax Fees# | All Other Fees# | |||||||||
MFS Series Trust X: | ||||||||||||
Service Affiliates of MFS Absolute Return Fund | 1,282,120 | 0 | 5,000 | |||||||||
Service Affiliates of MFS Aggressive Growth Allocation Fund | 137,500 | 0 | 0 | |||||||||
Service Affiliates of MFS Blended Research Growth Equity Fund1 | 1,282,120 | 0 | 5,000 | |||||||||
Service Affiliates of MFS Blended Research Mid Cap Equity Fund* | N/A | N/A | N/A | |||||||||
Service Affiliates of MFS Blended Research Small Cap Equity Fund1 | 1,282,120 | 0 | 5,000 | |||||||||
Service Affiliates of MFS Blended Research Value Equity Fund1 | 1,282,120 | 0 | 5,000 | |||||||||
Service Affiliates of MFS Conservative Allocation Fund | 137,500 | 0 | 0 | |||||||||
Service Affiliates of MFS Emerging Markets Equity Fund | 137,500 | 0 | 0 | |||||||||
Service Affiliates of MFS Growth Allocation Fund | 137,500 | 0 | 0 | |||||||||
Service Affiliates of MFS International Diversification Fund | 1,282,120 | 0 | 5,000 | |||||||||
Service Affiliates of MFS International Growth Fund | 137,500 | 0 | 0 | |||||||||
Service Affiliates of MFS International Value Fund | 137,500 | 0 | 0 | |||||||||
Service Affiliates of MFS Managed Wealth Fund | 137,500 | 0 | 0 | |||||||||
Service Affiliates of MFS Moderate Allocation Fund | 137,500 | 0 | 0 | |||||||||
April 30, 2016 | Audit-Related Fees# | Tax Fees# | All Other Fees# | |||||||||
MFS Series Trust IX: | ||||||||||||
Service Affiliates of MFS Corporate Bond Fund | 0 | 0 | 0 | |||||||||
Service Affiliates of MFS Limited Maturity Fund | 0 | 0 | 0 | |||||||||
Service Affiliates of MFS Municipal Limited Maturity Fund | 0 | 0 | 0 | |||||||||
Service Affiliates of MFS Total Return Bond Fund | 0 | 0 | 0 | |||||||||
MFS Series Trust XII: | ||||||||||||
Service Affiliates of MFS Lifetime Income Fund | 1,786,175 | 0 | 149,169 | |||||||||
Service Affiliates of MFS Lifetime 2020 Fund | 1,786,175 | 0 | 149,169 | |||||||||
Service Affiliates of MFS Lifetime 2025 Fund | 1,786,175 | 0 | 149,169 | |||||||||
Service Affiliates of MFS Lifetime 2030 Fund | 1,786,175 | 0 | 149,169 | |||||||||
Service Affiliates of MFS Lifetime 2035 Fund | 1,786,175 | 0 | 149,169 | |||||||||
Service Affiliates of MFS Lifetime 2040 Fund | 1,786,175 | 0 | 149,169 | |||||||||
Service Affiliates of MFS Lifetime 2045 Fund | 1,786,175 | 0 | 149,169 | |||||||||
Service Affiliates of MFS Lifetime 2050 Fund | 1,786,175 | 0 | 149,169 | |||||||||
Service Affiliates of MFS Lifetime 2055 Fund | 1,786,175 | 0 | 149,169 | |||||||||
Service Affiliates of MFS Lifetime 2060 Fund* | N/A | N/A | N/A | |||||||||
April 30, 2015 | Audit-Related Fees# | Tax Fees# | All Other Fees# | |||||||||
MFS Series Trust IX: | ||||||||||||
Service Affiliates of MFS Corporate Bond Fund | 1,294,130 | 0 | 5,000 | |||||||||
Service Affiliates of MFS Limited Maturity Fund | 1,294,130 | 0 | 5,000 | |||||||||
Service Affiliates of MFS Municipal Limited Maturity Fund | 1,294,130 | 0 | 5,000 | |||||||||
Service Affiliates of MFS Total Return Bond Fund | 1,294,130 | 0 | 5,000 | |||||||||
MFS Series Trust XII: | ||||||||||||
Service Affiliates of MFS Lifetime Income Fund | 0 | 0 | 0 | |||||||||
Service Affiliates of MFS Lifetime 2020 Fund | 0 | 0 | 0 | |||||||||
Service Affiliates of MFS Lifetime 2025 Fund | 0 | 0 | 0 | |||||||||
Service Affiliates of MFS Lifetime 2030 Fund | 0 | 0 | 0 | |||||||||
Service Affiliates of MFS Lifetime 2035 Fund | 0 | 0 | 0 | |||||||||
Service Affiliates of MFS Lifetime 2040 Fund | 0 | 0 | 0 | |||||||||
Service Affiliates of MFS Lifetime 2045 Fund | 0 | 0 | 0 | |||||||||
Service Affiliates of MFS Lifetime 2050 Fund | 0 | 0 | 0 | |||||||||
Service Affiliates of MFS Lifetime 2055 Fund | 0 | 0 | 0 | |||||||||
Service Affiliates of MFS Lifetime 2060 Fund* | N/A | N/A | N/A |
Schedule C-10
March 31, 2016 | Audit-Related Fees# | Tax Fees# | All Other Fees# | |||||||||
MFS Municipal Series Trust: | ||||||||||||
Service Affiliates of MFS Alabama Municipal Bond Fund | 0 | 0 | 5,000 | |||||||||
Service Affiliates of MFS Arkansas Municipal Bond Fund | 0 | 0 | 5,000 | |||||||||
Service Affiliates of MFS California Municipal Bond Fund | 0 | 0 | 5,000 | |||||||||
Service Affiliates of MFS Georgia Municipal Bond Fund | 0 | 0 | 5,000 | |||||||||
Service Affiliates of MFS Maryland Municipal Bond Fund | 0 | 0 | 5,000 | |||||||||
Service Affiliates of MFS Massachusetts Municipal Bond Fund | 0 | 0 | 5,000 | |||||||||
Service Affiliates of MFS Mississippi Municipal Bond Fund | 0 | 0 | 5,000 | |||||||||
Service Affiliates of MFS Municipal Income Fund | 0 | 0 | 5,000 | |||||||||
Service Affiliates of MFS New York Municipal Bond Fund | 0 | 0 | 5,000 | |||||||||
Service Affiliates of MFS North Carolina Municipal Bond Fund | 0 | 0 | 5,000 | |||||||||
Service Affiliates of MFS Pennsylvania Municipal Bond Fund | 0 | 0 | 5,000 | |||||||||
Service Affiliates of MFS South Carolina Municipal Bond Fund | 0 | 0 | 5,000 | |||||||||
Service Affiliates of MFS Tennessee Municipal Bond Fund | 0 | 0 | 5,000 | |||||||||
Service Affiliates of MFS Virginia Municipal Bond Fund | 0 | 0 | 5,000 | |||||||||
Service Affiliates of MFS West Virginia Municipal Bond Fund | 0 | 0 | 5,000 | |||||||||
March 31, 2015 | Audit-Related Fees# | Tax Fees# | All Other Fees# | |||||||||
MFS Municipal Series Trust: | ||||||||||||
Service Affiliates of MFS Alabama Municipal Bond Fund | 1,294,130 | 0 | 0 | |||||||||
Service Affiliates of MFS Arkansas Municipal Bond Fund | 1,294,130 | 0 | 0 | |||||||||
Service Affiliates of MFS California Municipal Bond Fund | 1,294,130 | 0 | 0 | |||||||||
Service Affiliates of MFS Georgia Municipal Bond Fund | 1,294,130 | 0 | 0 | |||||||||
Service Affiliates of MFS Maryland Municipal Bond Fund | 1,294,130 | 0 | 0 | |||||||||
Service Affiliates of MFS Massachusetts Municipal Bond Fund | 1,294,130 | 0 | 0 | |||||||||
Service Affiliates of MFS Mississippi Municipal Bond Fund | 1,294,130 | 0 | 0 | |||||||||
Service Affiliates of MFS Municipal Income Fund | 1,294,130 | 0 | 0 | |||||||||
Service Affiliates of MFS New York Municipal Bond Fund | 1,294,130 | 0 | 0 | |||||||||
Service Affiliates of MFS North Carolina Municipal Bond Fund | 1,294,130 | 0 | 0 | |||||||||
Service Affiliates of MFS Pennsylvania Municipal Bond Fund | 1,294,130 | 0 | 0 | |||||||||
Service Affiliates of MFS South Carolina Municipal Bond Fund | 1,294,130 | 0 | 0 | |||||||||
Service Affiliates of MFS Tennessee Municipal Bond Fund | 1,294,130 | 0 | 0 | |||||||||
Service Affiliates of MFS Virginia Municipal Bond Fund | 1,294,130 | 0 | 0 | |||||||||
Service Affiliates of MFS West Virginia Municipal Bond Fund | 1,294,130 | 0 | 0 | |||||||||
February 28, 2016 | Audit-Related Fees# | Tax Fees# | All Other Fees# | |||||||||
MFS Series Trust XIII: | ||||||||||||
Service Affiliates of MFS Diversified Income Fund | 1,786,175 | 0 | 149,169 | |||||||||
Service Affiliates of MFS Government Securities Fund | 0 | 0 | 5,000 | |||||||||
Service Affiliates of MFS New Discovery Value Fund | 1,786,175 | 0 | 149,169 | |||||||||
February 29, 2015 | Audit-Related Fees# | Tax Fees# | All Other Fees# | |||||||||
MFS Series Trust XIII: | ||||||||||||
Service Affiliates of MFS Diversified Income Fund | 0 | 0 | 0 | |||||||||
Service Affiliates of MFS Government Securities Fund | 1,382,855 | 0 | 0 | |||||||||
Service Affiliates of MFS New Discovery Value Fund | 0 | 0 | 0 |
Schedule C-11
January 31, 2016 | Audit-Related Fees# | Tax Fees# | All Other Fees# | |||||||||
MFS Series Trust III: | ||||||||||||
Service Affiliates of MFS High Income Fund | 55,409 | 0 | 5,000 | |||||||||
Service Affiliates of MFS Global High Yield Fund | 55,409 | 0 | 5,000 | |||||||||
Service Affiliates of MFS High Yield Pooled Portfolio | 55,409 | 0 | 5,000 | |||||||||
Service Affiliates of MFS Municipal High Income Fund | 1,786,175 | 0 | 149,169 | |||||||||
January 31, 2015 | Audit-Related Fees# | Tax Fees# | All Other Fees# | |||||||||
MFS Series Trust III: | ||||||||||||
Service Affiliates of MFS High Income Fund | 1,401,341 | 0 | 0 | |||||||||
Service Affiliates of MFS Global High Yield Fund | 1,401,341 | 0 | 0 | |||||||||
Service Affiliates of MFS High Yield Pooled Portfolio | 1,401,341 | 0 | 0 | |||||||||
Service Affiliates of MFS Municipal High Income Fund | 0 | 0 | 0 |
# | This amount reflects the fees billed to Service Affiliates of each fund for non-audit services relating directly to the operations and financial reporting of the fund (portions of which services also related to the operations and financial reporting of all funds within the MFS funds complex) |
* | Non-applicable – The fund commenced investment operations after the reporting period. |
1 | The fund commenced investment operations on September 15, 2015. |
2 | Effective March 1, 2015, the fiscal year end of the fund changed from February 28th to August 31st. Fees reported for the fund for the fiscal year end August 31, 2015 only include fees billed during the period of March 1, 2015 through August 31, 2015. For the period from March 1, 2014 to February 28, 2015, there were no fees billed to Service Affiliates of the fund. |
3 | Effective November 30, 2014, the fiscal year end of the fund changed from May 31st to November 30th. Fees reported for the fund for the fiscal year end November 30, 2014 only include fees billed during the period of June 1, 2014 through November 30, 2014. For the period from June 1, 2013 to May 31, 2014, there were no fees billed to Service Affiliates of the fund. |
During the periods indicated in the tables above, no services described under “Audit- Related Fees,” “Tax Fees” or “All Other Fees” were approved pursuant to thede minimis exception set forth in paragraph (c)(7)(i)(C) of Rule 2-01 of Regulation S-X.
Aggregate fees billed by Ernst & Young LLP and Deloitte & Touche LLP for each fund’s two most recent fiscal years for non-audit services rendered to each fund and to each fund’s Service Affiliates are shown below. Schedule B identifies the independent registered public accounting firm for each fund. Service Affiliates include MFS and various entities either controlling, controlled by, or under common control with MFS that provide ongoing services to the fund.
2016^ | 2015^^ | |||||||
Service Affiliates and Fund: | ||||||||
Massachusetts Investors Growth Stock Fund and its Service Affiliates | 1,482,279 | 84,621 | ||||||
Massachusetts Investors Trust and its Service Affiliates | 199,091 | 1,697,751 | ||||||
MFS Absolute Return Fund and its Service Affiliates | 16,453 | 1,311,773 | ||||||
MFS Aggressive Growth Allocation Fund and its Service Affiliates | 2,370,246 | 238,595 | ||||||
MFS Alabama Municipal Bond Fund and its Service Affiliates | 10,779 | 1,300,921 | ||||||
MFS Arkansas Municipal Bond Fund and its Service Affiliates | 10,779 | 1,300,949 | ||||||
MFS Blended Research Core Equity Fund and its Service Affiliates | 78,084 | 982,182 | ||||||
MFS Blended Research Emerging Markets Equity Fund*and its Service Affiliates | 1,874,159 | 1,146,398 | ||||||
MFS Blended Research Global Equity Fund*and its Service Affiliates | 1,874,159 | 1,146,398 | ||||||
MFS Blended Research Growth Equity Fund*and its Service Affiliates | 13,500 | 1,287,120 | ||||||
MFS Blended Research International Equity Fund*and its Service Affiliates | 1,874,161 | 1,146,398 | ||||||
MFS Blended Research Mid Cap Equity Fund**and its Service Affiliates | N/A | N/A | ||||||
MFS Blended Research Small Cap Equity Fund*and its Service Affiliates | 13,500 | 1,287,120 | ||||||
MFS Blended Research Value Equity Fund*and its Service Affiliates | 13,500 | 1,287,120 | ||||||
MFS California Municipal Bond Fund and its Service Affiliates | 10,779 | 1,300,970 | ||||||
MFS Commodity Strategy Fund and its Service Affiliates | 81,897 | 664,916 | ||||||
MFS Conservative Allocation Fund and its Service Affiliates | 2,370,737 | 238,595 | ||||||
MFS Corporate Bond Fund and its Service Affiliates | 6,885 | 1,307,605 | ||||||
MFS Core Equity Fund and its Service Affiliates | 1,872,696 | 1,156,030 | ||||||
MFS Diversified Income Fund and its Service Affiliates | 2,146,565 | 98,035 | ||||||
MFS Emerging Markets Debt Fund and its Service Affiliates | 2,193,194 | 704,675 | ||||||
MFS Emerging Markets Debt Local Currency Fund and its Service Affiliates | 1,871,170 | 1,286,742 |
Schedule C-12
2016^ | 2015^^ | |||||||
Service Affiliates and Fund: – continued | ||||||||
MFS Emerging Markets Equity Fund and its Service Affiliates | 2,374,623 | 243,275 | ||||||
MFS Equity Income Fund and its Service Affiliates | 2,189,646 | 702,857 | ||||||
MFS Equity Opportunities Fund and its Service Affiliates | 1,863,088 | 1,280,199 | ||||||
MFS Georgia Municipal Bond Fund and its Service Affiliates | 10,779 | 1,300,923 | ||||||
MFS Global Bond Fund and its Service Affiliates1 | 1,482,091 | 49,545 | ||||||
MFS Global Equity Fund and its Service Affiliates | 1,865,387 | 1,281,528 | ||||||
MFS Global Growth Fund and its Service Affiliates | 76,370 | 639,803 | ||||||
MFS Global Multi-Asset Fund and its Service Affiliates | 2,195,097 | 707,219 | ||||||
MFS Global Real Estate Fund and its Service Affiliates2 | 1,873,715 | 1,067,339 | ||||||
MFS Global Alternative Strategy Fund and its Service Affiliates | 81,710 | 661,247 | ||||||
MFS Global High Yield Fund and its Service Affiliates | 66,883 | 1,412,303 | ||||||
MFS Global New Discovery Fund and its Service Affiliates | 1,872,146 | 1,155,920 | ||||||
MFS Global Total Return Fund and its Service Affiliates | 1,866,425 | 1,282,782 | ||||||
MFS Government Securities Fund and its Service Affiliates | 11,789 | 1,394,452 | ||||||
MFS Growth Allocation Fund and its Service Affiliates | 2,371,582 | 238,595 | ||||||
MFS Growth Fund and its Service Affiliates | 199,806 | 1,959,069 | ||||||
MFS High Income Fund and its Service Affiliates | 68,785 | 1,414,428 | ||||||
MFS High Yield Pooled Portfolio and its Service Affiliates | 68,545 | 1,414,128 | ||||||
MFS Inflation-Adjusted Bond Fund and its Service Affiliates | 74,282 | 637,904 | ||||||
MFS Institutional International Equity Fund and its Service Affiliates | 11,727 | 1,031,405 | ||||||
MFS International Diversification Fund and its Service Affiliates | 12,172 | 1,296,245 | ||||||
MFS International Growth Fund and its Service Affiliates | 2,375,857 | 243,275 | ||||||
MFS International New Discovery Fund and its Service Affiliates | 1,792,736 | 1,231,666 | ||||||
MFS International Value Fund and its Service Affiliates | 2,383,511 | 243,275 | ||||||
MFS Lifetime Income Fund and its Service Affiliates | 2,178,241 | 95,095 | ||||||
MFS Lifetime 2020 Fund and its Service Affiliates | 2,178,173 | 95,095 | ||||||
MFS Lifetime 2025 Fund and its Service Affiliates | 2,177,985 | 94,992 | ||||||
MFS Lifetime 2030 Fund and its Service Affiliates | 2,178,190 | 95,095 | ||||||
MFS Lifetime 2035 Fund and its Service Affiliates | 2,177,976 | 94,992 | ||||||
MFS Lifetime 2040 Fund and its Service Affiliates | 2,178,155 | 95,095 | ||||||
MFS Lifetime 2045 Fund and its Service Affiliates | 2,177,960 | 94,992 | ||||||
MFS Lifetime 2050 Fund and its Service Affiliates | 2,178,051 | 95,072 | ||||||
MFS Lifetime 2055 Fund and its Service Affiliates | 2,177,940 | 94,992 | ||||||
MFS Lifetime 2060 Fund*** and its Service Affiliates | N/A | N/A | ||||||
MFS Limited Maturity Fund and its Service Affiliates | 6,789 | 1,307,272 | ||||||
MFS Low Volatility Equity Fund and its Service Affiliates | 1,871,799 | 1,155,611 | ||||||
MFS Low Volatility Global Equity Fund and its Service Affiliates | 76,853 | 980,866 | ||||||
MFS Managed Wealth Fund and its Service Affiliates | 2,378,763 | 241,000 | ||||||
MFS Maryland Municipal Bond Fund and its Service Affiliates | 10,779 | 1,300,930 | ||||||
MFS Massachusetts Municipal Bond Fund and its Service Affiliates | 10,779 | 1,300,962 | ||||||
MFS Mid Cap Growth Fund and its Service Affiliates | 76,879 | 981,248 | ||||||
MFS Mid Cap Value Fund and its Service Affiliates | 1,788,707 | 1,228,070 | ||||||
MFS Mississippi Municipal Bond Fund and its Service Affiliates | 10,779 | 1,300,929 | ||||||
MFS Moderate Allocation Fund and its Service Affiliates | 2,372,009 | 238,595 | ||||||
MFS Municipal High Income Fund and its Service Affiliates | 2,157,775 | 124,249 | ||||||
MFS Municipal Income Fund and its Service Affiliates | 10,840 | 1,301,435 | ||||||
MFS Municipal Limited Maturity Fund and its Service Affiliates | 6,221 | 1,306,700 | ||||||
MFS New Discovery Fund and its Service Affiliates | 1,872,739 | 1,156,040 | ||||||
MFS New Discovery Value Fund and its Service Affiliates | 2,145,585 | 98,084 | ||||||
MFS New York Municipal Income Fund and its Service Affiliates | 10,779 | 1,300,951 | ||||||
MFS North Carolina Municipal Income Fund and its Service Affiliates | 10,779 | 1,300,985 | ||||||
MFS Pennsylvania Municipal Bond Fund and its Service Affiliates | 10,779 | 1,300,935 |
Schedule C-13
2016^ | 2015^^ | |||||||
Service Affiliates and Fund: – continued | ||||||||
MFS Research Fund and its Service Affiliates | 76,879 | 981,892 | ||||||
MFS Research International Fund and its Service Affiliates | 1,875,467 | 1,156,788 | ||||||
MFS South Carolina Municipal Bond Fund and its Service Affiliates | 10,779 | 1,300,948 | ||||||
MFS Strategic Income Fund and its Service Affiliates | 1,865,245 | 1,282,121 | ||||||
MFS Technology Fund and its Service Affiliates | 1,872,334 | 1,155,981 | ||||||
MFS Tennessee Municipal Bond Fund and its Service Affiliates | 10,779 | 1,300,933 | ||||||
MFS Total Return Fund and its Service Affiliates | 79,413 | 984,934 | ||||||
MFS Total Return Bond Fund and its Service Affiliates | 6,789 | 1,307,841 | ||||||
MFS U.S. Government Cash Reserve Fund and its Service Affiliates | 73,460 | 977,551 | ||||||
MFS U.S. Government Money Market Fund and its Service Affiliates | 74,030 | 978,126 | ||||||
MFS Utilities Fund and its Service Affiliates | 1,865,984 | 1,280,991 | ||||||
MFS Value Fund and its Service Affiliates | 1,888,078 | 1,157,785 | ||||||
MFS Virginia Municipal Bond Fund and its Service Affiliates | 10,779 | 1,300,973 | ||||||
MFS West Virginia Municipal Bond Fund and its Service Affiliates | 10,779 | 1,300,936 |
^ | For funds with December 31 and November 30 fiscal year ends, information for fiscal year end December 31, 2015 and November 30, 2015, respectively. |
^^ | For funds with December 31 and November 30 fiscal year ends, information for fiscal year end December 31, 2014 and November 30, 2014, respectively. |
* | Commenced investment operations on September 15, 2015. |
** | Non-applicable-Commenced investment operations on August 19, 2016. |
*** | Non-applicable-Commenced investment operations on December 6, 2016. |
1 | Effective November 30, 2014, the fiscal year end of the fund changed from May 31st to November 30th. Fees reported for the fund for the fiscal year end November 30, 2014 only include fees billed during the period of June 1, 2014 through November 30, 2014. For the period from June 1, 2013 to May 31, 2014, the fees billed were $54,998. |
2 | Effective March 1, 2015, the fiscal year end of the fund changed from February 28th to August 31st. Fees reported for the fund for the fiscal year end August 31, 2015 only include fees billed during the period of March 1, 2015 through August 31, 2015. For the period from March 1, 2014 to February 28, 2015, the fees billed were $99,900. |
Schedule C-14
Schedule D
Number of Meetings Held During Most Recent Fiscal Year Ended:
FYE | 1/31/16 | 2/29/16 | 3/31/16 | 4/30/16 | 5/31/16 | 6/30/16 | 7/31/16 | 8/31/16 | 9/30/16 | 10/31/16 | 11/30/16 | 12/31/16 | ||||||||||||||||||||||||||||||||||||
COMMITTEE | ||||||||||||||||||||||||||||||||||||||||||||||||
Audit | 7 | 7 | 7 | 7 | 7 | 7 | 7 | 7 | 6 | 5 | 6 | 6 | ||||||||||||||||||||||||||||||||||||
Compliance & Governance | 7 | 7 | 7 | 7 | 7 | 7 | 6 | 6 | 6 | 5 | 6 | 6 | ||||||||||||||||||||||||||||||||||||
Contracts Review | 4 | 4 | 4 | 4 | 4 | 5 | 5 | 5 | 5 | 4 | 5 | 5 | ||||||||||||||||||||||||||||||||||||
Nomination & Compensation | 1 | 1 | 1 | 1 | 1 | 1 | 1 | 1 | 1 | 1 | 2 | 3 | ||||||||||||||||||||||||||||||||||||
Portfolio Trading & Marketing Review | 6 | 6 | 6 | 6 | 6 | 6 | 6 | 6 | 6 | 5 | 5 | 6 | ||||||||||||||||||||||||||||||||||||
Pricing | 6 | 6 | 6 | 6 | 6 | 6 | 6 | 6 | 6 | 5 | 5 | 6 | ||||||||||||||||||||||||||||||||||||
Services Contracts | 6 | 6 | 6 | 6 | 6 | 6 | 6 | 6 | 6 | 5 | 5 | 6 | ||||||||||||||||||||||||||||||||||||
BOARD | 8 | 8 | 8 | 8 | 8 | 8 | 8 | 8 | 8 | 7 | 8 | 8 |
Schedule D-1
Schedule E
Except as noted below, the table below shows the dollar range of equity securities beneficially owned by each nominee in each MFS fund overseen, or to be overseen, by the Trustee as of November 30, 2016. Messrs. Caroselli and Otis did not serve on the Board as of November 30, 2016 and were not subject to the Board’s policy requiring each Independent Trustee to invest on an aggregate basis, within two years of membership on the Board, an amount equal to his or her calendar year’s base retainer and meeting attendance fees in shares of the MFS Funds. As a result, Messrs. Caroselli and Otis did not beneficially own securities of any MFS fund as of November 30, 2016.
The following dollar ranges apply:
N. | None |
A. | $1 – $10,000 |
B. | $10,001 – $50,000 |
C. | $50,001 – $100,000 |
D. | Over $100,000 |
Name of Trustees | Aggregate Dollar Range of Equity Securities in the Massachusetts Investors Growth Stock Fund | Aggregate Dollar Range of Equity Securities in the Massachusetts Investors Trust | ||||||
Interested Trustee Nominees | ||||||||
Robert J. Manning | D | N | ||||||
Robin A. Stelmach | D | D | ||||||
Independent Trustee Nominees | ||||||||
Steven E. Buller | N | D | ||||||
Maureen R. Goldfarb | B | C | ||||||
David H. Gunning | N | N | ||||||
Michael Hegarty | N | D | ||||||
John P. Kavanaugh | N | B | ||||||
Maryann L. Roepke | N | N | ||||||
Laurie J. Thomsen | N | N |
Name of Trustees | Aggregate Dollar Range of Equity Securities in the MFS Absolute Return Fund | Aggregate Dollar Range of Equity Securities in the MFS Aggressive Growth Allocation Fund | ||||||
Interested Trustee Nominees | ||||||||
Robert J. Manning | N | N | ||||||
Robin A. Stelmach | N | D | ||||||
Independent Trustee Nominees | ||||||||
Steven E. Buller | N | N | ||||||
Maureen R. Goldfarb | N | N | ||||||
David H. Gunning | N | N | ||||||
Michael Hegarty | N | D | ||||||
John P. Kavanaugh | N | N | ||||||
Maryann L. Roepke | N | N | ||||||
Laurie J. Thomsen | N | N |
Schedule E-1
Name of Trustees | Aggregate Dollar Range of Equity Securities in the MFS Alabama Municipal Bond Fund | Aggregate Dollar Range of Equity Securities in the MFS Arkansas Municipal Bond Fund | ||||||
Interested Trustee Nominees | ||||||||
Robert J. Manning | N | N | ||||||
Robin A. Stelmach | N | N | ||||||
Independent Trustee Nominees | ||||||||
Steven E. Buller | N | N | ||||||
Maureen R. Goldfarb | N | N | ||||||
David H. Gunning | N | N | ||||||
Michael Hegarty | N | N | ||||||
John P. Kavanaugh | N | N | ||||||
Maryann L. Roepke | N | N | ||||||
Laurie J. Thomsen | N | N |
Name of Trustees | Aggregate Dollar Range of Equity Securities in the MFS Blended Research Core Equity Fund | Aggregate Dollar Range of Equity Securities in the MFS Blended Research Emerging Markets Equity Fund | ||||||
Interested Trustee Nominees | ||||||||
Robert J. Manning | N | N | ||||||
Robin A. Stelmach | N | N | ||||||
Independent Trustee Nominees | ||||||||
Steven E. Buller | N | N | ||||||
Maureen R. Goldfarb | N | N | ||||||
David H. Gunning | D | N | ||||||
Michael Hegarty | N | N | ||||||
John P. Kavanaugh | N | N | ||||||
Maryann L. Roepke | N | N | ||||||
Laurie J. Thomsen | N | N |
Name of Trustees | Aggregate Dollar Range of Equity Securities in the MFS Blended Research Global Equity Fund | Aggregate Dollar Range of Equity Securities in the MFS Blended Research Growth Equity Fund | ||||||
Interested Trustee Nominees | ||||||||
Robert J. Manning | N | N | ||||||
Robin A. Stelmach | N | N | ||||||
Independent Trustee Nominees | ||||||||
Steven E. Buller | N | N | ||||||
Maureen R. Goldfarb | N | N | ||||||
David H. Gunning | N | N | ||||||
Michael Hegarty | N | N | ||||||
John P. Kavanaugh | N | N | ||||||
Maryann L. Roepke | N | N | ||||||
Laurie J. Thomsen | N | N |
Schedule E-2
Name of Trustees | Aggregate Dollar Range of Equity Securities in the MFS Blended Research International Equity Fund | Aggregate Dollar Range of Equity Securities in the MFS Blended Research Mid Cap Equity Fund | ||||||
Interested Trustee Nominees | ||||||||
Robert J. Manning | N | N | ||||||
Robin A. Stelmach | N | N | ||||||
Independent Trustee Nominees | ||||||||
Steven E. Buller | N | N | ||||||
Maureen R. Goldfarb | N | N | ||||||
David H. Gunning | N | N | ||||||
Michael Hegarty | N | N | ||||||
John P. Kavanaugh | N | N | ||||||
Maryann L. Roepke | N | N | ||||||
Laurie J. Thomsen | N | N |
Name of Trustees | Aggregate Dollar Range of Equity Securities in the MFS Blended Research Small Cap Equity Fund | Aggregate Dollar Range of Equity Securities in the MFS Blended Research Value Equity Fund | ||||||
Interested Trustee Nominees | ||||||||
Robert J. Manning | N | N | ||||||
Robin A. Stelmach | N | N | ||||||
Independent Trustee Nominees | ||||||||
Steven E. Buller | N | N | ||||||
Maureen R. Goldfarb | N | N | ||||||
David H. Gunning | N | N | ||||||
Michael Hegarty | N | N | ||||||
John P. Kavanaugh | N | N | ||||||
Maryann L. Roepke | N | N | ||||||
Laurie J. Thomsen | N | N |
Name of Trustees | Aggregate Dollar Range of Equity Securities in the MFS California Municipal Bond Fund | Aggregate Dollar Range of Equity Securities in the MFS Commodity Strategy Fund | ||||||
Interested Trustee Nominees | ||||||||
Robert J. Manning | N | N | ||||||
Robin A. Stelmach | N | N | ||||||
Independent Trustee Nominees | ||||||||
Steven E. Buller | N | N | ||||||
Maureen R. Goldfarb | N | N | ||||||
David H. Gunning | N | N | ||||||
Michael Hegarty | N | N | ||||||
John P. Kavanaugh | N | N | ||||||
Maryann L. Roepke | N | N | ||||||
Laurie J. Thomsen | N | N |
Schedule E-3
Name of Trustees | Aggregate Dollar Range of Equity Securities in the MFS Conservative Allocation Fund | Aggregate Dollar Range of Equity Securities in the MFS Corporate Bond Fund | ||||||
Interested Trustee Nominees | ||||||||
Robert J. Manning | N | N | ||||||
Robin A. Stelmach | D | N | ||||||
Independent Trustee Nominees | ||||||||
Steven E. Buller | N | N | ||||||
Maureen R. Goldfarb | N | N | ||||||
David H. Gunning | N | N | ||||||
Michael Hegarty | N | N | ||||||
John P. Kavanaugh | N | N | ||||||
Maryann L. Roepke | N | D | ||||||
Laurie J. Thomsen | N | N |
Name of Trustees | Aggregate Dollar Range of Equity Securities in the MFS Core Equity Fund | Aggregate Dollar Range of Equity Securities in the MFS Diversified Income Fund | ||||||
Interested Trustee Nominees | ||||||||
Robert J. Manning | N | N | ||||||
Robin A. Stelmach | N | N | ||||||
Independent Trustee Nominees | ||||||||
Steven E. Buller | N | N | ||||||
Maureen R. Goldfarb | N | N | ||||||
David H. Gunning | N | N | ||||||
Michael Hegarty | D | N | ||||||
John P. Kavanaugh | N | N | ||||||
Maryann L. Roepke | N | N | ||||||
Laurie J. Thomsen | N | N |
Name of Trustees | Aggregate Dollar Range of Equity Securities in the MFS Emerging Markets Debt Fund | Aggregate Dollar Range of Equity Securities in the MFS Emerging Markets Debt Local Currency Fund | ||||||
Interested Trustee Nominees | ||||||||
Robert J. Manning | N | N | ||||||
Robin A. Stelmach | N | N | ||||||
Independent Trustee Nominees | ||||||||
Steven E. Buller | N | N | ||||||
Maureen R. Goldfarb | N | N | ||||||
David H. Gunning | N | N | ||||||
Michael Hegarty | N | N | ||||||
John P. Kavanaugh | N | N | ||||||
Maryann L. Roepke | C | N | ||||||
Laurie J. Thomsen | N | N |
Schedule E-4
Name of Trustees | Aggregate Dollar Range of Equity Securities in the MFS Emerging Markets Equity Fund | Aggregate Dollar Range of Equity Securities in the MFS Equity Income Fund | ||||||
Interested Trustee Nominees | ||||||||
Robert J. Manning | N | N | ||||||
Robin A. Stelmach | A | N | ||||||
Independent Trustee Nominees | ||||||||
Steven E. Buller | N | N | ||||||
Maureen R. Goldfarb | N | N | ||||||
David H. Gunning | N | N | ||||||
Michael Hegarty | N | N | ||||||
John P. Kavanaugh | B | N | ||||||
Maryann L. Roepke | N | N | ||||||
Laurie J. Thomsen | N | N |
Name of Trustees | Aggregate Dollar Range of Equity Securities in the MFS Equity Opportunities Fund | Aggregate Dollar Range of Equity Securities in the MFS Georgia Municipal Bond Fund | ||||||
Interested Trustee Nominees | ||||||||
Robert J. Manning | N | N | ||||||
Robin A. Stelmach | N | N | ||||||
Independent Trustee Nominees | ||||||||
Steven E. Buller | N | N | ||||||
Maureen R. Goldfarb | C | N | ||||||
David H. Gunning | D | N | ||||||
Michael Hegarty | N | N | ||||||
John P. Kavanaugh | N | N | ||||||
Maryann L. Roepke | D | N | ||||||
Laurie J. Thomsen | N | N |
Name of Trustees | Aggregate Dollar Range of Equity Securities in the MFS Global Bond Fund | Aggregate Dollar Range of Equity Securities in the MFS Global Equity Fund | ||||||
Interested Trustee Nominees | ||||||||
Robert J. Manning | N | N | ||||||
Robin A. Stelmach | N | D | ||||||
Independent Trustee Nominees | ||||||||
Steven E. Buller | N | N | ||||||
Maureen R. Goldfarb | N | N | ||||||
David H. Gunning | N | N | ||||||
Michael Hegarty | N | N | ||||||
John P. Kavanaugh | N | N | ||||||
Maryann L. Roepke | N | N | ||||||
Laurie J. Thomsen | N | N |
Schedule E-5
Name of Trustees | Aggregate Dollar Range of Equity Securities in the MFS Global Growth Fund | Aggregate Dollar Range of Equity Securities in the MFS Global Multi-Asset Fund | ||||||
Interested Trustee Nominees | ||||||||
Robert J. Manning | N | N | ||||||
Robin A. Stelmach | D | N | ||||||
Independent Trustee Nominees | ||||||||
Steven E. Buller | N | N | ||||||
Maureen R. Goldfarb | N | N | ||||||
David H. Gunning | N | N | ||||||
Michael Hegarty | N | N | ||||||
John P. Kavanaugh | N | N | ||||||
Maryann L. Roepke | N | N | ||||||
Laurie J. Thomsen | N | N |
Name of Trustees | Aggregate Dollar Range of Equity Securities in the MFS Global Real Estate Fund | Aggregate Dollar Range of Equity Securities in the MFS Global Alternative Strategy Fund | ||||||
Interested Trustee Nominees | ||||||||
Robert J. Manning | N | N | ||||||
Robin A. Stelmach | N | N | ||||||
Independent Trustee Nominees | ||||||||
Steven E. Buller | N | N | ||||||
Maureen R. Goldfarb | N | N | ||||||
David H. Gunning | N | N | ||||||
Michael Hegarty | N | N | ||||||
John P. Kavanaugh | N | N | ||||||
Maryann L. Roepke | N | N | ||||||
Laurie J. Thomsen | N | N |
Name of Trustees | Aggregate Dollar Range of Equity Securities in the MFS Global High Yield Fund | Aggregate Dollar Range of Equity Securities in the MFS Global New Discovery Fund | ||||||
Interested Trustee Nominees | ||||||||
Robert J. Manning | N | N | ||||||
Robin A. Stelmach | N | N | ||||||
Independent Trustee Nominees | ||||||||
Steven E. Buller | N | N | ||||||
Maureen R. Goldfarb | N | N | ||||||
David H. Gunning | N | N | ||||||
Michael Hegarty | N | N | ||||||
John P. Kavanaugh | N | N | ||||||
Maryann L. Roepke | N | N | ||||||
Laurie J. Thomsen | N | N |
Schedule E-6
Name of Trustees | Aggregate Dollar Range of Equity Securities in the MFS Global Total Return Fund | Aggregate Dollar Range of Equity Securities in the MFS Government Securities Fund | ||||||
Interested Trustee Nominees | ||||||||
Robert J. Manning | N | N | ||||||
Robin A. Stelmach | N | N | ||||||
Independent Trustee Nominees | ||||||||
Steven E. Buller | N | N | ||||||
Maureen R. Goldfarb | N | N | ||||||
David H. Gunning | N | N | ||||||
Michael Hegarty | N | N | ||||||
John P. Kavanaugh | N | B | ||||||
Maryann L. Roepke | N | N | ||||||
Laurie J. Thomsen | N | N |
Name of Trustees | Aggregate Dollar Range of Equity Securities in the MFS Growth Allocation Fund | Aggregate Dollar Range of Equity Securities in the MFS Growth Fund | ||||||
Interested Trustee Nominees | ||||||||
Robert J. Manning | N | D | ||||||
Robin A. Stelmach | D | D | ||||||
Independent Trustee Nominees | ||||||||
Steven E. Buller | N | C | ||||||
Maureen R. Goldfarb | A | C | ||||||
David H. Gunning | N | N | ||||||
Michael Hegarty | N | N | ||||||
John P. Kavanaugh | N | C | ||||||
Maryann L. Roepke | N | N | ||||||
Laurie J. Thomsen | N | N |
Name of Trustees | Aggregate Dollar Range of Equity Securities in the MFS High Income Fund | Aggregate Dollar Range of Equity Securities in the MFS High Yield Portfolio | ||||||
Interested Trustee Nominees | ||||||||
Robert J. Manning | N | N | ||||||
Robin A. Stelmach | N | N | ||||||
Independent Trustee Nominees | ||||||||
Steven E. Buller | N | N | ||||||
Maureen R. Goldfarb | N | N | ||||||
David H. Gunning | N | N | ||||||
Michael Hegarty | N | N | ||||||
John P. Kavanaugh | N | N | ||||||
Maryann L. Roepke | N | N | ||||||
Laurie J. Thomsen | N | N |
Schedule E-7
Name of Trustees | Aggregate Dollar Range of Equity Securities in the MFS Inflation-Adjusted Bond Fund | Aggregate Dollar Range of Equity Securities in the MFS Institutional International Equity Fund | ||||||
Interested Trustee Nominees | ||||||||
Robert J. Manning | N | N | ||||||
Robin A. Stelmach | N | N | ||||||
Independent Trustee Nominees | ||||||||
Steven E. Buller | N | N | ||||||
Maureen R. Goldfarb | N | N | ||||||
David H. Gunning | N | N | ||||||
Michael Hegarty | N | N | ||||||
John P. Kavanaugh | N | N | ||||||
Maryann L. Roepke | N | N | ||||||
Laurie J. Thomsen | N | N |
Name of Trustees | Aggregate Dollar Range of Equity Securities in the MFS International Diversification Fund | Aggregate Dollar Range of Equity Securities in the MFS International Growth Fund | ||||||
Interested Trustee Nominees | ||||||||
Robert J. Manning | N | N | ||||||
Robin A. Stelmach | D | N | ||||||
Independent Trustee Nominees | ||||||||
Steven E. Buller | N | N | ||||||
Maureen R. Goldfarb | N | B | ||||||
David H. Gunning | N | N | ||||||
Michael Hegarty | N | N | ||||||
John P. Kavanaugh | N | N | ||||||
Maryann L. Roepke | N | N | ||||||
Laurie J. Thomsen | N | N |
Name of Trustees | Aggregate Dollar Range of Equity Securities in the MFS International New Discovery Fund | Aggregate Dollar Range of Equity Securities in the MFS International Value Fund | ||||||
Interested Trustee Nominees | ||||||||
Robert J. Manning | N | N | ||||||
Robin A. Stelmach | N | N | ||||||
Independent Trustee Nominees | ||||||||
Steven E. Buller | N | N | ||||||
Maureen R. Goldfarb | N | B | ||||||
David H. Gunning | N | N | ||||||
Michael Hegarty | N | N | ||||||
John P. Kavanaugh | B | N | ||||||
Maryann L. Roepke | N | D | ||||||
Laurie J. Thomsen | B | B |
Schedule E-8
Name of Trustees | Aggregate Dollar Range of Equity Securities in the MFS Lifetime Income Fund | Aggregate Dollar Range of Equity Securities in the MFS Lifetime 2020 Fund | ||||||
Interested Trustee Nominees | ||||||||
Robert J. Manning | N | N | ||||||
Robin A. Stelmach | N | N | ||||||
Independent Trustee Nominees | ||||||||
Steven E. Buller | N | N | ||||||
Maureen R. Goldfarb | N | N | ||||||
David H. Gunning | N | N | ||||||
Michael Hegarty | N | N | ||||||
John P. Kavanaugh | N | N | ||||||
Maryann L. Roepke | N | N | ||||||
Laurie J. Thomsen | N | N |
Name of Trustees | Aggregate Dollar Range of Equity Securities in the MFS Lifetime 2025 Fund | Aggregate Dollar Range of Equity Securities in the MFS Lifetime 2030 Fund | ||||||
Interested Trustee Nominees | ||||||||
Robert J. Manning | N | N | ||||||
Robin A. Stelmach | N | N | ||||||
Independent Trustee Nominees | ||||||||
Steven E. Buller | N | N | ||||||
Maureen R. Goldfarb | N | N | ||||||
David H. Gunning | N | N | ||||||
Michael Hegarty | N | N | ||||||
John P. Kavanaugh | N | N | ||||||
Maryann L. Roepke | N | N | ||||||
Laurie J. Thomsen | N | N |
Name of Trustees | Aggregate Dollar Range of Equity Securities in the MFS Lifetime 2035 Fund | Aggregate Dollar Range of Equity Securities in the MFS Lifetime 2040 Fund | ||||||
Interested Trustee Nominees | ||||||||
Robert J. Manning | N | N | ||||||
Robin A. Stelmach | N | N | ||||||
Independent Trustee Nominees | ||||||||
Steven E. Buller | N | N | ||||||
Maureen R. Goldfarb | N | N | ||||||
David H. Gunning | N | N | ||||||
Michael Hegarty | N | N | ||||||
John P. Kavanaugh | N | N | ||||||
Maryann L. Roepke | N | N | ||||||
Laurie J. Thomsen | N | N |
Schedule E-9
Name of Trustees | Aggregate Dollar Range of Equity Securities in the MFS Lifetime 2045 Fund | Aggregate Dollar Range of Equity Securities in the MFS Lifetime 2050 Fund | ||||||
Interested Trustee Nominees | ||||||||
Robert J. Manning | N | N | ||||||
Robin A. Stelmach | N | N | ||||||
Independent Trustee Nominees | ||||||||
Steven E. Buller | N | N | ||||||
Maureen R. Goldfarb | N | N | ||||||
David H. Gunning | N | N | ||||||
Michael Hegarty | N | N | ||||||
John P. Kavanaugh | N | N | ||||||
Maryann L. Roepke | N | N | ||||||
Laurie J. Thomsen | N | N |
Name of Trustees | Aggregate Dollar Range of Equity Securities in the MFS Lifetime 2055 Fund | Aggregate Dollar Range of Equity Securities in the MFS Lifetime 2060 Fund | ||||||
Interested Trustee Nominees | ||||||||
Robert J. Manning | N | N | ||||||
Robin A. Stelmach | N | N | ||||||
Independent Trustee Nominees | ||||||||
Steven E. Buller | N | N | ||||||
Maureen R. Goldfarb | N | N | ||||||
David H. Gunning | N | N | ||||||
Michael Hegarty | N | N | ||||||
John P. Kavanaugh | N | N | ||||||
Maryann L. Roepke | N | N | ||||||
Laurie J. Thomsen | N | N |
Name of Trustees | Aggregate Dollar Range of Equity Securities in the MFS Limited Maturity Fund | Aggregate Dollar Range of Equity Securities in the MFS Low Volatility Equity Fund | ||||||
Interested Trustee Nominees | ||||||||
Robert J. Manning | N | N | ||||||
Robin A. Stelmach | D | N | ||||||
Independent Trustee Nominees | ||||||||
Steven E. Buller | N | N | ||||||
Maureen R. Goldfarb | N | N | ||||||
David H. Gunning | N | N | ||||||
Michael Hegarty | N | N | ||||||
John P. Kavanaugh | B | N | ||||||
Maryann L. Roepke | N | N | ||||||
Laurie J. Thomsen | N | N |
Schedule E-10
Name of Trustees | Aggregate Dollar Range of Equity Securities in the MFS Low Volatility Global Equity Fund | Aggregate Dollar Range of Equity Securities in the MFS Managed Wealth Fund | ||||||
Interested Trustee Nominees | ||||||||
Robert J. Manning | N | N | ||||||
Robin A. Stelmach | N | D | ||||||
Independent Trustee Nominees | ||||||||
Steven E. Buller | N | N | ||||||
Maureen R. Goldfarb | N | N | ||||||
David H. Gunning | N | N | ||||||
Michael Hegarty | N | N | ||||||
John P. Kavanaugh | N | N | ||||||
Maryann L. Roepke | N | N | ||||||
Laurie J. Thomsen | N | N |
Name of Trustees | Aggregate Dollar Range of Equity Securities in the MFS Maryland Municipal Bond Fund | Aggregate Dollar Range of Equity Securities in the MFS Massachusetts Municipal Bond Fund | ||||||
Interested Trustee Nominees | ||||||||
Robert J. Manning | N | N | ||||||
Robin A. Stelmach | N | C | ||||||
Independent Trustee Nominees | ||||||||
Steven E. Buller | N | N | ||||||
Maureen R. Goldfarb | �� | N | N | |||||
David H. Gunning | N | N | ||||||
Michael Hegarty | N | N | ||||||
John P. Kavanaugh | N | B | ||||||
Maryann L. Roepke | N | N | ||||||
Laurie J. Thomsen | N | N |
Name of Trustees | Aggregate Dollar Range of Equity Securities in the MFS Mid Cap Growth Fund | Aggregate Dollar Range of Equity Securities in the MFS Mid Cap Value Fund | ||||||
Interested Trustee Nominees | ||||||||
Robert J. Manning | N | N | ||||||
Robin A. Stelmach | N | N | ||||||
Independent Trustee Nominees | ||||||||
Steven E. Buller | N | N | ||||||
Maureen R. Goldfarb | N | A | ||||||
David H. Gunning | D | D | ||||||
Michael Hegarty | N | N | ||||||
John P. Kavanaugh | N | N | ||||||
Maryann L. Roepke | N | N | ||||||
Laurie J. Thomsen | N | D |
Schedule E-11
Name of Trustees | Aggregate Dollar Range of Equity Securities in the MFS Mississippi Municipal Bond Fund | Aggregate Dollar Range of Equity Securities in the MFS Moderate Allocation Fund | ||||||
Interested Trustee Nominees | ||||||||
Robert J. Manning | N | N | ||||||
Robin A. Stelmach | N | D | ||||||
Independent Trustee Nominees | ||||||||
Steven E. Buller | N | N | ||||||
Maureen R. Goldfarb | N | N | ||||||
David H. Gunning | N | N | ||||||
Michael Hegarty | N | N | ||||||
John P. Kavanaugh | N | N | ||||||
Maryann L. Roepke | N | N | ||||||
Laurie J. Thomsen | N | N |
Name of Trustees | Aggregate Dollar Range of Equity Securities in the MFS Municipal High Income Fund | Aggregate Dollar Range of Equity Securities in the MFS Municipal Income Fund | ||||||
Interested Trustee Nominees | ||||||||
Robert J. Manning | N | N | ||||||
Robin A. Stelmach | N | N | ||||||
Independent Trustee Nominees | ||||||||
Steven E. Buller | N | N | ||||||
Maureen R. Goldfarb | N | N | ||||||
David H. Gunning | N | N | ||||||
Michael Hegarty | N | N | ||||||
John P. Kavanaugh | N | N | ||||||
Maryann L. Roepke | N | N | ||||||
Laurie J. Thomsen | N | N |
Name of Trustees | Aggregate Dollar Range of Equity Securities in the MFS Municipal Limited Maturity Fund | Aggregate Dollar Range of Equity Securities in the MFS New Discovery Fund | ||||||
Interested Trustee Nominees | ||||||||
Robert J. Manning | N | N | ||||||
Robin A. Stelmach | N | D | ||||||
Independent Trustee Nominees | ||||||||
Steven E. Buller | N | B | ||||||
Maureen R. Goldfarb | N | N | ||||||
David H. Gunning | N | N | ||||||
Michael Hegarty | N | N | ||||||
John P. Kavanaugh | N | N | ||||||
Maryann L. Roepke | N | N | ||||||
Laurie J. Thomsen | N | B |
Schedule E-12
Name of Trustees | Aggregate Dollar Range of Equity Securities in the MFS New Discovery Value Fund | Aggregate Dollar Range of Equity Securities in the MFS New York Municipal Bond Fund | ||||||
Interested Trustee Nominees | ||||||||
Robert J. Manning | N | N | ||||||
Robin A. Stelmach | N | N | ||||||
Independent Trustee Nominees | ||||||||
Steven E. Buller | N | N | ||||||
Maureen R. Goldfarb | N | N | ||||||
David H. Gunning | D | N | ||||||
Michael Hegarty | D | N | ||||||
John P. Kavanaugh | N | N | ||||||
Maryann L. Roepke | N | N | ||||||
Laurie J. Thomsen | N | N |
Name of Trustees | Aggregate Dollar Range of Equity Securities in the MFS North Carolina Municipal Bond Fund | Aggregate Dollar Range of Equity Securities in the MFS Pennsylvania Municipal Bond Fund | ||||||
Interested Trustee Nominees | ||||||||
Robert J. Manning | N | N | ||||||
Robin A. Stelmach | N | N | ||||||
Independent Trustee Nominees | ||||||||
Steven E. Buller | N | N | ||||||
Maureen R. Goldfarb | N | N | ||||||
David H. Gunning | N | N | ||||||
Michael Hegarty | N | N | ||||||
John P. Kavanaugh | N | N | ||||||
Maryann L. Roepke | N | N | ||||||
Laurie J. Thomsen | N | N |
Name of Trustees | Aggregate Dollar Range of Equity Securities in the MFS Research Fund | Aggregate Dollar Range of Equity Securities in the MFS Research International Fund | ||||||
Interested Trustee Nominees | ||||||||
Robert J. Manning | N | N | ||||||
Robin A. Stelmach | D | D | ||||||
Independent Trustee Nominees | ||||||||
Steven E. Buller | N | N | ||||||
Maureen R. Goldfarb | C | N | ||||||
David H. Gunning | N | N | ||||||
Michael Hegarty | D | N | ||||||
John P. Kavanaugh | N | N | ||||||
Maryann L. Roepke | N | N | ||||||
Laurie J. Thomsen | N | N |
Schedule E-13
Name of Trustees | Aggregate Dollar Range of Equity Securities in the MFS South Carolina Municipal Bond Fund | Aggregate Dollar Range of Equity Securities in the MFS Strategic Income Fund | ||||||
Interested Trustee Nominees | ||||||||
Robert J. Manning | N | N | ||||||
Robin A. Stelmach | N | N | ||||||
Independent Trustee Nominees | ||||||||
Steven E. Buller | N | N | ||||||
Maureen R. Goldfarb | N | N | ||||||
David H. Gunning | N | N | ||||||
Michael Hegarty | N | N | ||||||
John P. Kavanaugh | N | N | ||||||
Maryann L. Roepke | N | N | ||||||
Laurie J. Thomsen | N | N |
Name of Trustees | Aggregate Dollar Range of Equity Securities in the MFS Technology Fund | Aggregate Dollar Range of Equity Securities in the MFS Tennessee Municipal Bond Fund | ||||||
Interested Trustee Nominees | ||||||||
Robert J. Manning | D | N | ||||||
Robin A. Stelmach | N | N | ||||||
Independent Trustee Nominees | ||||||||
Steven E. Buller | N | N | ||||||
Maureen R. Goldfarb | N | N | ||||||
David H. Gunning | N | N | ||||||
Michael Hegarty | N | N | ||||||
John P. Kavanaugh | N | N | ||||||
Maryann L. Roepke | D | N | ||||||
Laurie J. Thomsen | B | N |
Name of Trustees | Aggregate Dollar Range of Equity Securities in the MFS Total Return Fund | Aggregate Dollar Range of Equity Securities in the MFS Total Return Bond Fund | ||||||
Interested Trustee Nominees | ||||||||
Robert J. Manning | N | N | ||||||
Robin A. Stelmach | D | N | ||||||
Independent Trustee Nominees | ||||||||
Steven E. Buller | N | N | ||||||
Maureen R. Goldfarb | N | N | ||||||
David H. Gunning | N | N | ||||||
Michael Hegarty | N | N | ||||||
John P. Kavanaugh | N | B | ||||||
Maryann L. Roepke | N | N | ||||||
Laurie J. Thomsen | N | N |
Schedule E-14
Name of Trustees | Aggregate Dollar Range of Equity Securities in the MFS U.S. Government Cash Reserve Fund | Aggregate Dollar Range of Equity Securities in the MFS U.S. Government Money Market Fund | ||||||
Interested Trustee Nominees | ||||||||
Robert J. Manning | N | D | ||||||
Robin A. Stelmach | N | N | ||||||
Independent Trustee Nominees | ||||||||
Steven E. Buller | N | N | ||||||
Maureen R. Goldfarb | N | N | ||||||
David H. Gunning | N | D | ||||||
Michael Hegarty | N | N | ||||||
John P. Kavanaugh | N | N | ||||||
Maryann L. Roepke | N | N | ||||||
Laurie J. Thomsen | N | N |
Name of Trustees | Aggregate Dollar Range of Equity Securities in the MFS Utilities Fund | Aggregate Dollar Range of Equity Securities in the MFS Value Fund | ||||||
Interested Trustee Nominees | ||||||||
Robert J. Manning | N | D | ||||||
Robin A. Stelmach | N | D | ||||||
Independent Trustee Nominees | ||||||||
Steven E. Buller | N | D | ||||||
Maureen R. Goldfarb | N | C | ||||||
David H. Gunning | N | C | ||||||
Michael Hegarty | N | N | ||||||
John P. Kavanaugh | N | C | ||||||
Maryann L. Roepke | N | N | ||||||
Laurie J. Thomsen | N | N |
Name of Trustees | Aggregate Dollar Range of Equity Securities in the MFS Virginia Municipal Bond Fund | Aggregate Dollar Range of Equity Securities in the MFS West Virginia Municipal Bond Fund | ||||||
Interested Trustee Nominees | ||||||||
Robert J. Manning | N | N | ||||||
Robin A. Stelmach | N | N | ||||||
Independent Trustee Nominees | ||||||||
Steven E. Buller | N | N | ||||||
Maureen R. Goldfarb | N | N | ||||||
David H. Gunning | N | N | ||||||
Michael Hegarty | N | N | ||||||
John P. Kavanaugh | N | N | ||||||
Maryann L. Roepke | N | N | ||||||
Laurie J. Thomsen | N | N |
Schedule E-15
Schedule F
Interests of Certain Persons
As of November 30, 2016,* to the best knowledge of each Fund, the following shareholders beneficially owned more than 5% of the outstanding shares of any class of such Fund.
Name and Address of Shareholder | Class of Shares | Number of Outstanding Shares Beneficially Owned | Percentage of Outstanding Shares of Noted Class Owned | |||||||
MASSACHUSETTS INVESTORS GROWTH STOCK FUND | ||||||||||
ALFRED A L’ALTRELLI | 529B | 886.2520 | 5.95 | |||||||
310 MARY LN CANONSBURG PA 15317-5208 | ||||||||||
LISA A WALKER | 529B | 1,496.3000 | 5.50 | |||||||
3316 HAWTHORNE AVE DALLAS TX 75219-2012 | ||||||||||
DAVID A BARKER | 529C | 2,947.0850 | 5.02 | |||||||
4235 HYACINTH ST EUGENE OR 97404-4083 | ||||||||||
PERSHING LLC | B | 154,055.6320 | 5.28 | |||||||
1 PERSHING PLZ | C | 589,725.0810 | 5.34 | |||||||
JERSEY CITY NJ 07399-0002 | ||||||||||
MORGAN STANLEY SMITH BARNEY | C | 943,508.7580 | 8.55 | |||||||
HARBORSIDE FINANCIAL CENTER | ||||||||||
PLAZA 2 3RD FLOOR | ||||||||||
JERSEY CITY NJ 07311 | ||||||||||
AMERICAN UNITED LIFE GROUP RETIREMENT ANNUITY | R2 | 1,042,586.7710 | 16.73 | |||||||
ATTN SEPARATE ACCOUNTS | ||||||||||
PO BOX 368 | ||||||||||
INDIANAPOLIS IN 46206-0368 | ||||||||||
VOYA RETIREMENT INS & ANNUITY | R2 | 462,619.9850 | 7.67 | |||||||
1 ORANGE WAY B3N | R4 | 5,568,977.1740 | 18.16 | |||||||
WINDSOR CT 06095-4773 | ||||||||||
STATE STREET BANK TRUST CO | R3 | 1,419,205.2150 | 8.34 | |||||||
TRUSTEE VARIOUS RETIREMENT PLANS | ||||||||||
440 MAMARONECK AVE | ||||||||||
HARRISON NY 10528-2418 | ||||||||||
AIGFSB CUSTODIAN TRUSTEE FBO | R3 | 880,239.6650 | 5.17 | |||||||
STATE OF FLORIDA 457 | ||||||||||
2929 ALLEN PKWY STE A6-20 | ||||||||||
HOUSTON TX 77019-7117 | ||||||||||
GREAT-WEST TRUST COMPANY LLC | R3 | 1,142,622.4480 | 10.06 | |||||||
EMPLOYEE BENEFITS CLIENTS 401K | ||||||||||
8515 E ORCHARD RD 2T2 | ||||||||||
GREENWOOD VLG CO 80111-5002 | ||||||||||
JOHN HANCOCK TRUST COMPANY LLC | R3 | 973,277.7360 | 5.72 | |||||||
690 CANTON ST STE 100 | ||||||||||
WESTWOOD MA 02090-2324 | ||||||||||
PIMS/PRUDENTIAL RETPLAN | R4 | 4,005,342.9590 | 13.06 | |||||||
NOMINEE TRUSTEE CUSTODIAN | ||||||||||
767 MGM RESORTS 401K SAVINGS PLAN | ||||||||||
4886 FRANK SINATRA DR | ||||||||||
LAS VEGAS NV 89158-4316 | ||||||||||
NATIONWIDE TRUST COMPANY FSB | R4 | 1,710,764.8060 | 5.58 | |||||||
PO BOX 182029 | ||||||||||
COLUMBUS OH 43218-2029 |
Schedule F-1
Name and Address of Shareholder | Class of Shares | Number of Outstanding Shares Beneficially Owned | Percentage of Outstanding Shares of Noted Class Owned | |||||||
MASSACHUSETTS INVESTORS GROWTH STOCK FUND – continued | ||||||||||
STATE STREET BANK TRUST CO | R6 | 5,280,837.1770 | 21.45 | |||||||
TRUSTEE VARIOUS RETIREMENT PLANS | ||||||||||
440 MAMARONECK AVE | ||||||||||
HARRISON NY 10528-2418 | ||||||||||
FIDELITY INVESTMENTS INSTITUTIONAL OPERATIONS CO INC | R6 | 1,789,186.3960 | 30.46 | |||||||
QUALIFIED EMPLOYEE PLANS 401K FINOPS-IC FUNDS | ||||||||||
100 MAGELLAN WAY # KW1C | ||||||||||
COVINGTON KY 41015-1987 | ||||||||||
LINCOLN RETIREMENT SERVICES COMPANY | R6 | 1,645,881.8080 | 6.68 | |||||||
FBO CAPE COD HEALTHCARE 403B | ||||||||||
PO BOX 7876 | ||||||||||
FORT WAYNE IN 46801-7876 | ||||||||||
MASSACHUSETTS INVESTORS TRUST | ||||||||||
JULIE L DAVIS | ||||||||||
4807 NE 10TH AVEPORTLAND OR 97211-4573 | 529B | 2,481.9690 | 14.74 | |||||||
LISA A WALKER | 529B | 982.5870 | 5.83 | |||||||
3316 HAWTHORNE AVE DALLAS TX 75219-2012 | ||||||||||
HEATHER S SCOTT | 529B | 937.8010 | 5.57 | |||||||
11332 214TH ST LAKEWOOD CA 90715-2014 | ||||||||||
JAMES G MOYER | ||||||||||
124 WILLOW TREE LN MOUNT HOLLY NC 28120-9260 | 529B | 900.1280 | 5.34 | |||||||
VANESSA A WILKINS | 529C | 5,579.8560 | 8.59 | |||||||
69620 OLD BARN CT SISTERS OR 97759-9644 | ||||||||||
PERSHING LLC | B | 224,201.6940 | 8.25 | |||||||
1 PERSHING PLZ | C | 668,710.9210 | 6.29 | |||||||
JERSEY CITY NJ 07399-0002 | ||||||||||
MORGAN STANLEY SMITH BARNEY | B | 146,135.8320 | 5.38 | |||||||
HARBORSIDE FINANCIAL CENTER | C | 745,754.4250 | 7.01 | |||||||
PLAZA 2 3RD FLOOR | ||||||||||
JERSEY CITY NJ 07311 | ||||||||||
TAYNIK & CO | R1 | 46,592.0690 | 16.45 | |||||||
CO STATE STREET BANK & TRUST | ||||||||||
1200 CROWN COLONY DR | ||||||||||
QUINCY MA 02169-0938 | ||||||||||
EQUITABLE LIFE | R1 | 24,189.7860 | 8.54 | |||||||
500 PLAZA DR | ||||||||||
SECAUCUS NJ 07094-3619 | ||||||||||
VOYA RETIREMENT INS & ANNUITY CO | R2 | 1,758,781.8580 | 34.85 | |||||||
1 ORANGE WAY B3N | ||||||||||
WINDSOR CT 06095-4773 | ||||||||||
HARTFORD LIFE INSURANCE COMPANY | R2 | 1,442,221.6540 | 25.85 | |||||||
1 GRIFFIN ROAD NORTH | R3 | 907,828.2210 | 8.27 | |||||||
WINDSOR CT 06095-1512 | ||||||||||
JOHN HANCOCK TRUST COMPANY LLC | R2 | 400,022.7350 | 7.17 | |||||||
690 CANTON ST STE 100 | ||||||||||
WESTWOOD MA 02090-2324 | ||||||||||
TRANSAMERICA LIFE INS COMPANY | R3 | 1,507,491.7690 | 13.73 | |||||||
1150 S OLIVE ST | ||||||||||
LOS ANGELES CA 90015-2211 |
Schedule F-2
Name and Address of Shareholder | Class of Shares | Number of Outstanding Shares Beneficially Owned | Percentage of Outstanding Shares of Noted Class Owned | |||||||
MASSACHUSETTS INVESTORS TRUST – continued | ||||||||||
FIDELITY INVESTMENTS INSTITUTIONAL OPERATIONS CO INC | R3 | 2,664,526.1980 | 24.27 | |||||||
QUALIFIED EMPLOYEE PLANS 401K FINOPS-IC FUNDS | R4 | 965,894.4630 | 47.16 | |||||||
100 MAGELLAN WAY # KW1C | R6 | 2,622,110.5210 | 65.34 | |||||||
COVINGTON KY 41015-1987 | ||||||||||
JOHN HANCOCK LIFE INSURANCE CO USA | R3 | 2,159,737.7390 | 19.67 | |||||||
RPS TRADING OPS ST-4 | ||||||||||
601 CONGRESS ST | ||||||||||
BOSTON MA 02210-2805 | ||||||||||
GREAT-WEST TRUST COMPANY LLC TTEE F | R4 | 136,747.0420 | 6.68 | |||||||
EMPLOYEE BENEFITS CLIENTS 401K | ||||||||||
8515 E ORCHARD RD 2T2 | ||||||||||
GREENWOOD VLG CO 80111-5002 | ||||||||||
NATIONWIDE TRUST COMPANY FSB | R4 | 168,795.1830 | 8.24 | |||||||
C/O IPO PORTFOLIO ACCOUNTING | ||||||||||
PO BOX 182029 | ||||||||||
COLUMBUS OH 43218-2029 | ||||||||||
MFS ABSOLUTE RETURN FUND | ||||||||||
PERSHING LLC | A | 41,233.2570 | 13.84 | |||||||
1 PERSHING PLZ | C | 24,831.2650 | 16.05 | |||||||
JERSEY CITY NJ 07399-0002 | ||||||||||
THOMAS D HEIMAN | A | 16,260.2500 | 5.46 | |||||||
THOMAS D HEIMAN MD PLAN SEP PLAN | ||||||||||
3670 E 1ST ST # B | ||||||||||
LONG BEACH CA 90803-2712 | ||||||||||
MASSACHUSETTS FINANCIAL SERVICES COMPANY | B | 5,411.9230 | 11.26 | |||||||
111 HUNTINGTON AVENUE | I | 50,948.6670 | 61.68 | |||||||
BOSTON MA 02199-7632 | R1 | 5,405.6570 | 100.00 | |||||||
R2 | 5,395.9110 | 100.00 | ||||||||
R3 | 5,412.4540 | 98.45 | ||||||||
R4 | 5,428.2630 | 100.00 | ||||||||
BAY CITY ISD TSA 403B | C | 12,487.2110 | 8.07 | |||||||
A/C JACQUELINE C GORMAN | ||||||||||
3920 BUCKS BAYOU RD | ||||||||||
BAY CITY TX 77414-1722 | ||||||||||
MORGAN STANLEY SMITH BARNEY | C | 8,870.4130 | 5.73 | |||||||
HARBORSIDE FINANCIAL CENTER | ||||||||||
PLAZA 2 3RD FLOOR | ||||||||||
JERSEY CITY NJ 07311 | ||||||||||
PETER D LONCTO | I | 14,763.2950 | 17.87 | |||||||
U/DELAWARE UNIF TOD ACT | ||||||||||
69 MYRTLE ST APT 6 | ||||||||||
BOSTON MA 02114-4818 | ||||||||||
MFS CONSERVATIVE ALLOCATION FUND | R6 | 6,273,026.0570 | 30.12 | |||||||
2 AVENUE DE LAFAYETTE BOSTON MA 02111-1750 | ||||||||||
MFS MODERATE ALLOCATION FUND | R6 | 6,201,571.4460 | 29.78 | |||||||
2 AVENUE DE LAFAYETTE BOSTON MA 02111-1750 | ||||||||||
MFS GROWTH ALLOCATION FUND | R6 | 5,169,162.8550 | 24.82 | |||||||
2 AVENUE DE LAFAYETTE BOSTON MA 02111-1750 | ||||||||||
MFS LIFETIME INCOME FUND | ||||||||||
2 AVENUE DE LAFAYETTE BOSTON MA 02111-1750 | R6 | 1,316,440.3470 | 6.32 |
Schedule F-3
Name and Address of Shareholder | Class of Shares | Number of Outstanding Shares Beneficially Owned | Percentage of Outstanding Shares of Noted Class Owned | |||||||
MFS AGGRESSIVE GROWTH ALLOCATION FUND | ||||||||||
PERSHING LLC | A | 2,481,420.1000 | 6.47 | |||||||
1 PERSHING PLZ | B | 320,677.6410 | 9.48 | |||||||
JERSEY CITY NJ 07399-0002 | C | 1,101,083.9000 | 7.82 | |||||||
ALERUS FINANCIAL | R1 | 71,548.2780 | 7.71 | |||||||
FBO JARRAFF INDUSTRIES INC | ||||||||||
PO BOX 64535 | ||||||||||
SAINT PAUL MN 55164-0535 | ||||||||||
ALERUS FINANCIAL | R1 | 55,798.4260 | 6.01 | |||||||
FBO TIRE ASSOCIATES WAREHOUSE | ||||||||||
PO BOX 64535 | ||||||||||
SAINT PAUL MN 55164-0535 | ||||||||||
VOYA RETIREMENT INS & ANNUITY CO | R2 | 976,455.4010 | 24.55 | |||||||
1 ORANGE WAY B3N | R4 | 182,994.9420 | 5.70 | |||||||
WINDSOR CT 06095-4773 | ||||||||||
REMJAY CORP CUST FBO | ||||||||||
PLANS OF RPSA CUSTOMERS | R3 | 1,974,643.0760 | 28.73 | |||||||
8515 E ORCHARD RD 2T2 | ||||||||||
GREENWOOD VLG CO 80111-5002 | ||||||||||
GREAT-WEST TRUST COMPANY LLC TTEE F | R3 | 413,128.5130 | 6.01 | |||||||
EMPLOYEE BENEFITS CLIENTS 401K | R4 | 481,440.5940 | 14.99 | |||||||
8515 E ORCHARD RD 2T2 | ||||||||||
GREENWOOD VLG CO 80111-5002 | ||||||||||
OMNIPUTNAM | R4 | 217,651.6050 | 6.78 | |||||||
C/O MUTUAL FUND TRADING | ||||||||||
8525 E ORCHARD RD | ||||||||||
GREENWOOD VLG CO 80111-5002 | ||||||||||
NFS LLC FEBO | R4 | 189,043.6870 | 5.89 | |||||||
STATE STREET BANK TRUST CO | ||||||||||
TRUSTEE VARIOUS RETIREMENT PLANS | ||||||||||
440 MAMARONECK AVE | ||||||||||
HARRISON NY 10528-2418 | ||||||||||
ADP ACCESS PRODUCT | R4 | 246,488.0730 | 7.68 | |||||||
1 LINCOLN ST | ||||||||||
BOSTON MA 02111-2900 | ||||||||||
TAYNIK & CO | R4 | 186,843.0250 | 5.82 | |||||||
CO STATE STREET BANK & TRUST | ||||||||||
1200 CROWN COLONY DR | ||||||||||
QUINCY MA 02169-0938 | ||||||||||
MFS ALABAMA MUNICIPAL BOND FUND | ||||||||||
MORGAN STANLEY SMITH BARNEY | A | 533,766.8990 | 9.52 | |||||||
HARBORSIDE FINANCIAL CENTER | ||||||||||
PLAZA 2 3RD FLOOR | ||||||||||
JERSEY CITY NJ 07311 | ||||||||||
PERSHING LLC | A | 362,177.5130 | 6.46 | |||||||
1 PERSHING PLZ | I | 21,070.3870 | 7.75 | |||||||
JERSEY CITY NJ 07399-0002 | ||||||||||
FIRST SOUTHERN C/R | I | 28,239.9370 | 10.39 | |||||||
PO BOX 48529 | ||||||||||
ATLANTA GA 30362-1529 |
Schedule F-4
Name and Address of Shareholder | Class of Shares | Number of Outstanding Shares Beneficially Owned | Percentage of Outstanding Shares of Noted Class Owned | |||||||
MFS ARKANSAS MUNICIPAL BOND FUND | ||||||||||
PERSHING LLC | A | 1,771,089.1780 | 11.29 | |||||||
1 PERSHING PLZ | B | 312,836.8130 | 48.92 | |||||||
JERSEY CITY NJ 07399-0002 | I | 34,418.3330 | 5.29 | |||||||
MFS BLENDED RESEARCH CORE EQUITY FUND | ||||||||||
PERSHING LLC | A | 836,139.5440 | 6.77 | |||||||
1 PERSHING PLZ | B | 129,332.6700 | 14.22 | |||||||
JERSEY CITY NJ 07399-0002 | C | 393,022.2690 | 11.33 | |||||||
I | 1,909,958.1360 | 12.55 | ||||||||
MORGAN STANLEY SMITH BARNEY | C | 278,795.6420 | 8.04 | |||||||
HARBORSIDE FINANCIAL CENTER | ||||||||||
PLAZA 2 3RD FLOOR | ||||||||||
JERSEY CITY NJ 07311 | ||||||||||
MASS MUTUAL LIFE INSURANCE CO | R2 | 381,773.8920 | 24.98 | |||||||
ATTN RS FUND OPERATIONS | R3 | 300,187.5170 | 6.77 | |||||||
1295 STATE ST | ||||||||||
SPRINGFIELD MA 01111-0001 | ||||||||||
ADP ACCESS PRODUCT | R2 | 106,461.9530 | 6.97 | |||||||
1 LINCOLN ST | ||||||||||
BOSTON MA 02111-2900 | ||||||||||
TAYNIK & CO | R2 | 88,895.2740 | 5.82 | |||||||
CO STATE STREET BANK & TRUST | R3 | 849,222.3470 | 19.14 | |||||||
1200 CROWN COLONY DR | ||||||||||
QUINCY MA 02169-0938 | ||||||||||
PIMS/PRUDENTIAL RETPLAN | R3 | 283,567.3450 | 6.39 | |||||||
NOMINEE TRUSTEE CUSTODIAN | ||||||||||
KENT COUNTY ROAD COMMISSION 401K | ||||||||||
1500 SCRIBNER AVE NW | ||||||||||
GRAND RAPIDS MI 49504-3233 | ||||||||||
CHARLES SCHWAB & CO INC | R3 | 260,145.2190 | 5.86 | |||||||
101 MONTGOMERY ST | ||||||||||
SAN FRANCISCO CA 94104-4151 | ||||||||||
AIGFSB CUSTODIAN TRUSTEE FBO | R4 | 353,745.9320 | 18.40 | |||||||
BAPTIST HEALTH SYSTEM 403B | ||||||||||
2727A ALLEN PKWY # 4-D1 | ||||||||||
HOUSTON TX 77019-2107 | ||||||||||
FIDELITY INVESTMENTS INSTITUTIONAL OPERATIONS CO INC | R4 | 396,731.0860 | 20.64 | |||||||
QUALIFIED EMPLOYEEP LANS 401K FINOPS-IC FUNDS | ||||||||||
100 MAGELLAN WAY # KW1C | ||||||||||
COVINGTON KY 41015-1987 | ||||||||||
NATIONWIDE TRUST COMPANY, FSB | R4 | 232,318.8150 | 12.09 | |||||||
C/O IPO ACCOUNTING | ||||||||||
PO BOX 182029 | ||||||||||
COLUMBUS OH 43218-2029 | ||||||||||
VANGUARD FIDUCIARY TRUST CO | R4 | 146,937.9610 | 7.64 | |||||||
PO BOX 2600 VM 613 | ||||||||||
VALLEY FORGE PA 19482-2600 | ||||||||||
MFS LIFETIME 2030 FUND | R6 | 839,096.3610 | 10.31 | |||||||
ATTN MFS GROUP | ||||||||||
1200 CROWN COLONY DR | ||||||||||
QUINCY MA 02169-0938 |
Schedule F-5
Name and Address of Shareholder | Class of Shares | Number of Outstanding Shares Beneficially Owned | Percentage of Outstanding Shares of Noted Class Owned | |||||||
MFS BLENDED RESEARCH CORE EQUITY FUND – continued | ||||||||||
WELLS FARGO BANK FBO | R6 | 598,175.7800 | 9.24 | |||||||
1525 WEST WT HARRIS BLVD | ||||||||||
CHARLOTTE NC 28288-1076 | ||||||||||
MFS LIFETIME 2040 FUND | R6 | 642,401.1320 | 7.89 | |||||||
ATTN MFS GROUP | ||||||||||
1200 CROWN COLONY DR | ||||||||||
QUINCY MA 02169-0938 | ||||||||||
VOYA INSTITUTIONAL TRUST COMPANY | R6 | 631,995.9870 | 7.77 | |||||||
AS TRUSTEE OR CUSTODIAN FOR BOOZ & COMPANY | ||||||||||
30 BRAINTREE HILL PARK | ||||||||||
BRAINTREE MA 02184-8747 | ||||||||||
MFS LIFETIME INCOME FUND | R6 | 529,767.3950 | 6.51 | |||||||
ATTN MFS GROUP | ||||||||||
1200 CROWN COLONY DR | ||||||||||
QUINCY MA 02169-0938 | ||||||||||
MFS LIFETIME 2020 FUND | R6 | 479,608.0460 | 5.89 | |||||||
ATTN MFS GROUP | ||||||||||
1200 CROWN COLONY DR | ||||||||||
QUINCY MA 02169-0938 | ||||||||||
MFS BLENDED RESEARCH GLOBAL EQUITY FUND | ||||||||||
NATIONAL FINANCIAL SERVICES LLC | A | 9,009.2680 | 39.43 | |||||||
499 WASHINGTON BLVD | ||||||||||
ATTN MUTUAL FUND DEPT 4TH FLOOR | ||||||||||
JERSEY CITY NJ 07310-2010 | ||||||||||
MASSACHUSETTS FINANCIAL SERVICES COMPANY | A | 5,029.4630 | 22.01 | |||||||
111 HUNTINGTON AVE FL 17 | B | 5,017.5320 | 100.00 | |||||||
BOSTON MA 02199-7632 | C | 5,018.0700 | 46.75 | |||||||
I | 27,018.2750 | 32.48 | ||||||||
R1 | 5,017.5320 | 100.00 | ||||||||
R2 | 5,024.9750 | 100.00 | ||||||||
R3 | 5,028.6970 | 100.00 | ||||||||
R4 | 5,032.4180 | 100.00 | ||||||||
R6 | 261,692.4580 | 100.00 | ||||||||
JEANETTE D LEWIS | A | 1,773.2170 | 7.76 | |||||||
401 S GALLAHER VIEW RD APT 10 | ||||||||||
KNOXVILLE TN 37919-5310 | ||||||||||
DAVID M HUNT | C | 1,044.7760 | 9.73 | |||||||
PO BOX 2076 | ||||||||||
VAIL CO 81658-2076 | ||||||||||
JONATHAN W SAGE | I | 7,019.7190 | 7.11 | |||||||
111 HUNTINGTON AVENUE | ||||||||||
BOSTON MA 02199-7632 | ||||||||||
MFS BLENDED RESEARCH GROWTH EQUITY FUND | ||||||||||
MASSACHUSETTS FINANCIAL SERVICES COMPANY | A | 5,015.2720 | 10.04 | |||||||
111 HUNTINGTON AVE FL 17 | B | 5,003.5460 | 34.50 | |||||||
BOSTON MA 02199-7632 | C | 5,003.1700 | 76.80 | |||||||
I | 5,017.7940 | 18.44 | ||||||||
R1 | 5,003.0060 | 100.00 | ||||||||
R2 | 5,010.3950 | 100.00 | ||||||||
R3 | 5,014.0950 | 100.00 | ||||||||
R4 | 5,017.7940 | 100.00 |
Schedule F-6
Name and Address of Shareholder | Class of Shares | Number of Outstanding Shares Beneficially Owned | Percentage of Outstanding Shares of Noted Class Owned | |||||||
MFS BLENDED RESEARCH GROWTH EQUITY FUND – continued | ||||||||||
PERSHING LLC | A | 4,091.2050 | 8.19 | |||||||
1 PERSHING PLZ | ||||||||||
JERSEY CITY NJ 07399-0002 | ||||||||||
DAVID RABIN | C | 667.3510 | 10.24 | |||||||
53 PONDSIDE DR | ||||||||||
BOLTON MA 01740-1275 | ||||||||||
MFS LIFETIME 2030 FUND | R6 | 2,405,539.1690 | 23.75 | |||||||
ATTN MFS GROUP | ||||||||||
1200 CROWN COLONY DR | ||||||||||
QUINCY MA 02169-0938 | ||||||||||
MFS LIFETIME 2040 FUND | R6 | 2,117,675.0270 | 20.91 | |||||||
ATTN MFS GROUP | ||||||||||
1200 CROWN COLONY DR | ||||||||||
QUINCY MA 02169-0938 | ||||||||||
MFS LIFETIME INCOME FUND | R6 | 1,175,867.4280 | 11.61 | |||||||
ATTN MFS GROUP | ||||||||||
1200 CROWN COLONY DR | ||||||||||
QUINCY MA 02169-0938 | ||||||||||
MFS LIFETIME 2020 FUND | R6 | 1,064,187.5500 | 10.51 | |||||||
ATTN MFS GROUP | ||||||||||
1200 CROWN COLONY DR | ||||||||||
QUINCY MA 02169-0938 | ||||||||||
MFS LIFETIME 2035 FUND | R6 | 836,456.2790 | 8.26 | |||||||
ATTN MFS GROUP | ||||||||||
1200 CROWN COLONY DR | ||||||||||
QUINCY MA 02169-0938 | ||||||||||
MFS LIFETIME 2050 FUND | R6 | 786,408.4570 | 7.76 | |||||||
ATTN MFS GROUP | ||||||||||
1200 CROWN COLONY DR | ||||||||||
QUINCY MA 02169-0938 | ||||||||||
MFS LIFETIME 2025 FUND | R6 | 669,975.1900 | 6.62 | |||||||
ATTN MFS GROUP | ||||||||||
QUINCY MA 02169-0938 | ||||||||||
MFS LIFETIME 2045 FUND | R6 | 589,914.2590 | 5.82 | |||||||
ATTN MFS GROUP | ||||||||||
1200 CROWN COLONY DR | ||||||||||
QUINCY MA 02169-0938 | ||||||||||
MFS BLENDED RESEARCH INTERNATIONAL EQUITY FUND | ||||||||||
MASSACHUSETTS FINANCIAL SERVICES COMPANY | B | 5,047.4120 | 84.37 | |||||||
111 HUNTINGTON AVE FL 17 | C | 5,047.4120 | 100.00 | |||||||
BOSTON MA 02199-7632 | I | 34,440.3690 | 52.92 | |||||||
R1 | 5,047.4120 | 100.00 | ||||||||
R2 | 5,055.0670 | 100.00 | ||||||||
R3 | 5,058.8910 | 100.00 | ||||||||
R4 | 5,062.7160 | 100.00 | ||||||||
SCOTT E CHURCH IRA | B | 428.7780 | 7.17 | |||||||
OHIO PERMIT SERVICE CO SIMPLE PLAN | ||||||||||
2731 FIELD POST CT | ||||||||||
HILLIARD OH 43026-9501 |
Schedule F-7
Name and Address of Shareholder | Class of Shares | Number of Outstanding Shares Beneficially Owned | Percentage of Outstanding Shares of Noted Class Owned | |||||||
MFS BLENDED RESEARCH INTERNATIONAL EQUITY FUND – continued | ||||||||||
MFS LIFETIME 2040 FUND | R6 | 4,107,766.9140 | 24.20 | |||||||
ATTN MFS GROUP | ||||||||||
1200 CROWN COLONY DR | ||||||||||
QUINCY MA 02169-0938 | ||||||||||
MFS LIFETIME 2030 FUND | R6 | 4,000,262.7200 | 23.56 | |||||||
ATTN MFS GROUP | ||||||||||
1200 CROWN COLONY DR | ||||||||||
QUINCY MA 02169-0938 | ||||||||||
MFS LIFETIME INCOME FUND | R6 | 1,613,768.4530 | 9.51 | |||||||
ATTN MFS GROUP | ||||||||||
1200 CROWN COLONY DR | ||||||||||
QUINCY MA 02169-0938 | ||||||||||
MFS LIFETIME 2050 FUND | R6 | 1,581,117.5390 | 9.31 | |||||||
ATTN MFS GROUP | ||||||||||
1200 CROWN COLONY DR | ||||||||||
QUINCY MA 02169-0938 | ||||||||||
MFS LIFETIME 2020 FUND | R6 | 1,529,657.7560 | 9.01 | |||||||
ATTN MFS GROUP | ||||||||||
1200 CROWN COLONY DR | ||||||||||
QUINCY MA 02169-0938 | ||||||||||
MFS LIFETIME 2035 FUND | R6 | 1,511,877.7130 | 8.91 | |||||||
ATTN MFS GROUP | ||||||||||
1200 CROWN COLONY DR | ||||||||||
QUINCY MA 02169-0938 | ||||||||||
MFS LIFETIME 2045 FUND | R6 | 1,184,208.6750 | 6.98 | |||||||
ATTN MFS GROUP | ||||||||||
1200 CROWN COLONY DR | ||||||||||
QUINCY MA 02169-0938 | ||||||||||
MFS LIFETIME 2025 FUND | R6 | 1,070,546.6650 | 6.31 | |||||||
ATTN MFS GROUP | ||||||||||
1200 CROWN COLONY DR | ||||||||||
QUINCY MA 02169-0938 | ||||||||||
MFS BLENDED RESEARCH MID CAP EQUITY FUND | ||||||||||
MASSACHUSETTS FINANCIAL SERVICES COMPANY | A | 5,000.0000 | 100.00 | |||||||
111 HUNTINGTON AVE FL 17 | B | 5,000.0000 | 100.00 | |||||||
BOSTON MA 02199-7632 | C | 5,000.0000 | 100.00 | |||||||
I | 5,000.0000 | 100.00 | ||||||||
R1 | 5,000.0000 | 100.00 | ||||||||
R2 | 5,000.0000 | 100.00 | ||||||||
R3 | 5,000.0000 | 100.00 | ||||||||
R4 | 5,000.0000 | 100.00 | ||||||||
MFS LIFETIME 2030 FUND | R6 | 4,237,840.6790 | 24.98 | |||||||
ATTN MFS GROUP | ||||||||||
1200 CROWN COLONY DR | ||||||||||
QUINCY MA 02169-0938 | ||||||||||
MFS LIFETIME 2040 FUND | R6 | 3,748,612.3280 | 22.10 | |||||||
ATTN MFS GROUP | ||||||||||
1200 CROWN COLONY DR | ||||||||||
QUINCY MA 02169-0938 |
Schedule F-8
Name and Address of Shareholder | Class of Shares | Number of Outstanding Shares Beneficially Owned | Percentage of Outstanding Shares of Noted Class Owned | |||||||
MFS BLENDED RESEARCH MID CAP EQUITY FUND – continued | ||||||||||
MFS LIFETIME INCOME FUND | R6 | 1,855,402.1850 | 10.94 | |||||||
ATTN MFS GROUP | ||||||||||
1200 CROWN COLONY DR | ||||||||||
QUINCY MA 02169-0938 | ||||||||||
MFS LIFETIME 2020 FUND | R6 | 1,533,267.3740 | 9.04 | |||||||
ATTN MFS GROUP | ||||||||||
1200 CROWN COLONY DR | ||||||||||
QUINCY MA 02169-0938 | ||||||||||
MFS LIFETIME 2035 FUND | R6 | 1,465,450.5810 | 8.64 | |||||||
ATTN MFS GROUP | ||||||||||
1200 CROWN COLONY DR | ||||||||||
QUINCY MA 02169-0938 | ||||||||||
MFS LIFETIME 2050 FUND | R6 | 1,395,213.0120 | 8.22 | |||||||
ATTN MFS GROUP | ||||||||||
1200 CROWN COLONY DR | ||||||||||
QUINCY MA 02169-0938 | ||||||||||
MFS LIFETIME 2025 FUND | R6 | 1,191,734.9770 | 7.03 | |||||||
ATTN MFS GROUP | ||||||||||
1200 CROWN COLONY DR | ||||||||||
QUINCY MA 02169-0938 | ||||||||||
MFS LIFETIME 2045 FUND | R6 | 1,048,696.4310 | 6.18 | |||||||
ATTN MFS GROUP | ||||||||||
1200 CROWN COLONY DR | ||||||||||
QUINCY MA 02169-0938 | ||||||||||
MFS BLENDED RESEARCH SMALL CAP EQUITY FUND | ||||||||||
MASSACHUSETTS FINANCIAL SERVICES COMPANY | 529A | 4,655.4930 | 87.21 | |||||||
111 HUNTINGTON AVE | 529B | 4,672.8970 | 100.00 | |||||||
BOSTON MA 02199-7632 | 529C | 4,677.2680 | 99.51 | |||||||
B | 1,774.3850 | 11.43 | ||||||||
C | 5,003.7390 | 43.12 | ||||||||
I | 5,016.2460 | 48.60 | ||||||||
R1 | 5,001.2160 | 97.39 | ||||||||
R2 | 5,008.7080 | 100.00 | ||||||||
R3 | 5,012.4570 | 100.00 | ||||||||
R4 | 5,016.2100 | 100.00 | ||||||||
R6 | 868,687.0340 | 22.44 | ||||||||
JUDY M HSU | 529A | 430.9220 | 8.33 | |||||||
302 HALLMARK S | ||||||||||
HERSHEY PA 17033-2337 | ||||||||||
PERSHING LLC | A | 23,506.4940 | 19.01 | |||||||
1 PERSHING PLZ | ||||||||||
JERSEY CITY NJ 07399-0002 | ||||||||||
IKATHRYN E HANSON | A | 7,231.7710 | 5.85 | |||||||
5097 S HARVEST ST | ||||||||||
GILBERT AZ 85298-2741 | ||||||||||
ORA EASH | A | 6,950.4780 | 5.62 | |||||||
3901 BAHIA VISTA ST LOT 308 | ||||||||||
SARASOTA FL 34232-2437 |
Schedule F-9
Name and Address of Shareholder | Class of Shares | Number of Outstanding Shares Beneficially Owned | Percentage of Outstanding Shares of Noted Class Owned | |||||||
MFS BLENDED RESEARCH SMALL CAP EQUITY FUND – continued | ||||||||||
NATIONAL FINANCIAL SERVICES LLC FOR | B | 1,774.3850 | 11.43 | |||||||
THE EXCLUSIVE BENE OF OUR CUST | ||||||||||
499 WASHINGTON BLVD | ||||||||||
ATTN MUTUAL FUND DEPT 4TH FLOOR | ||||||||||
JERSEY CITY NJ 07310-2010 | ||||||||||
PERSHING LLC | C | 2,657.9260 | 22.91 | |||||||
1 PERSHING PLZ | ||||||||||
JERSEY CITY NJ 07399-0002 | ||||||||||
MFS LIFETIME 2030 FUND | R6 | 868,687.0340 | 22.44 | |||||||
ATTN MFS GROUP | ||||||||||
1200 CROWN COLONY DR | ||||||||||
QUINCY MA 02169-0938 | ||||||||||
MFS LIFETIME 2040 FUND | R6 | 860,505.4500 | 22.22 | |||||||
ATTN MFS GROUP | ||||||||||
1200 CROWN COLONY DR | ||||||||||
QUINCY MA 02169-0938 | ||||||||||
MFS LIFETIME INCOME FUND | R6 | 558,048.0900 | 14.41 | |||||||
ATTN MFS GROUP | ||||||||||
1200 CROWN COLONY DR | ||||||||||
QUINCY MA 02169-093 | ||||||||||
MFS LIFETIME 2020 FUND | R6 | 373,066.5300 | 9.64 | |||||||
ATTN MFS GROUP | ||||||||||
1200 CROWN COLONY DR | ||||||||||
QUINCY MA 02169-0938 | ||||||||||
MFS LIFETIME 2050 FUND | R6 | 325,098.6060 | 8.40 | |||||||
ATTN MFS GROUP | ||||||||||
1200 CROWN COLONY DR | ||||||||||
QUINCY MA 02169-0938 | ||||||||||
MFS LIFETIME 2035 FUND | R6 | 318,855.7340 | 8.24 | |||||||
ATTN MFS GROUP | ||||||||||
1200 CROWN COLONY DR | ||||||||||
QUINCY MA 02169-0938 | ||||||||||
MFS LIFETIME 2045 FUND | R6 | 246,200.6060 | 6.36 | |||||||
ATTN MFS GROUP | ||||||||||
1200 CROWN COLONY DR | ||||||||||
QUINCY MA 02169-0938 | ||||||||||
MFS LIFETIME 2025 FUND | R6 | 242,837.4060 | 6.27 | |||||||
ATTN MFS GROUP | ||||||||||
1200 CROWN COLONY DR | ||||||||||
QUINCY MA 02169-0938 | ||||||||||
MFS BLENDED RESEARCH VALUE EQUITY FUND | ||||||||||
MASSACHUSETTS FINANCIAL SERVICES COMPANY | A | 5,047.2120 | 9.05 | |||||||
111 HUNTINGTON AVE FL 17 | B | 5,033.2090 | 66.77 | |||||||
BOSTON MA 02199-7626 | C | 5,040.8480 | 30.04 | |||||||
I | 5,048.1990 | 17.95 | ||||||||
R1 | 5,033.2090 | 100.00 | ||||||||
R2 | 5,040.6840 | 100.00 | ||||||||
R3 | 5,044.4200 | 100.00 | ||||||||
R4 | 5,048.1550 | 100.00 |
Schedule F-10
Name and Address of Shareholder | Class of Shares | Number of Outstanding Shares Beneficially Owned | Percentage of Outstanding Shares of Noted Class Owned | |||||||
MFS BLENDED RESEARCH VALUE EQUITY FUND – continued | ||||||||||
VITA ANN TRINGONE 403B | B | 651.2250 | 8.64 | |||||||
11440 N JOG ROAD | ||||||||||
PALM BCH GDNS FL 33418-1765 | ||||||||||
PERSHING LLC | C | 8,917.7730 | 53.14 | |||||||
1 PERSHING PLZ | ||||||||||
JERSEY CITY NJ 07399-0002 | ||||||||||
JONATHAN W SAGE | I | 11,251.4550 | 38.17 | |||||||
111 HUNTINGTON AVENUE | ||||||||||
BOSTON MA 02199-7626 | ||||||||||
MFS LIFETIME 2030 FUND | R6 | 2,324,419.2630 | 24.51 | |||||||
ATTN MFS GROUP | ||||||||||
1200 CROWN COLONY DR | ||||||||||
QUINCY MA 02169-0938 | ||||||||||
MFS LIFETIME 2040 FUND | R6 | 2,050,973.9140 | 21.63 | |||||||
ATTN MFS GROUP | ||||||||||
1200 CROWN COLONY DR | ||||||||||
QUINCY MA 02169-0938 | ||||||||||
MFS LIFETIME INCOME FUND | R6 | 1,125,509.9200 | 11.87 | |||||||
ATTN MFS GROUP | ||||||||||
1200 CROWN COLONY DR | ||||||||||
QUINCY MA 02169-0938 | ||||||||||
MFS LIFETIME 2020 FUND | R6 | 1,023,596.3950 | 10.79 | |||||||
ATTN MFS GROUP | ||||||||||
1200 CROWN COLONY DR | ||||||||||
QUINCY MA 02169-0938 | ||||||||||
MFS LIFETIME 2035 FUND | R6 | 806,810.6140 | 8.51 | |||||||
ATTN MFS GROUP | ||||||||||
1200 CROWN COLONY DR | ||||||||||
QUINCY MA 02169-0938 | ||||||||||
MFS LIFETIME 2050 FUND | R6 | 759,737.7680 | 8.01 | |||||||
ATTN MFS GROUP | ||||||||||
1200 CROWN COLONY DR | ||||||||||
QUINCY MA 02169-0938 | ||||||||||
MFS LIFETIME 2025 FUND | R6 | 645,761.8690 | 6.81 | |||||||
ATTN MFS GROUP | ||||||||||
1200 CROWN COLONY DR | ||||||||||
QUINCY MA 02169-0938 | ||||||||||
MFS LIFETIME 2045 FUND | R6 | 570,357.1400 | 6.01 | |||||||
ATTN MFS GROUP | ||||||||||
1200 CROWN COLONY DR | ||||||||||
QUINCY MA 02169-0938 | ||||||||||
MFS BLENDED RESEARCH EMERGING MARKETS EQUITY FUND | ||||||||||
KATHRYN E HANSON | A | 6,980.7040 | 6.58 | |||||||
5097 S HARVEST ST | ||||||||||
GILBERT AZ 85298-2741 | ||||||||||
TROY A HANSON | A | 5,389.5870 | 5.08 | |||||||
5097 S HARVEST ST | ||||||||||
GILBERT AZ 85298-2741 |
Schedule F-11
Name and Address of Shareholder | Class of Shares | Number of Outstanding Shares Beneficially Owned | Percentage of Outstanding Shares of Noted Class Owned | |||||||
MFS BLENDED RESEARCH EMERGING MARKETS EQUITY FUND – continued | ||||||||||
MASSACHUSETTS FINANCIAL SERVICES COMPANY | B | 5,015.9580 | 64.89 | |||||||
111 HUNTINGTON AVE FL 17 | C | 5,016.9000 | 27.24 | |||||||
BOSTON MA 02199-7632 | I | 5,031.2310 | 38.75 | |||||||
R1 | 5,015.9580 | 100.00 | ||||||||
R2 | 5,023.5970 | 100.00 | ||||||||
R3 | 5,027.4320 | 100.00 | ||||||||
R4 | 5,031.2670 | 100.00 | ||||||||
PERSHING LLC | B | 690.3550 | 8.93 | |||||||
1 PERSHING PLZ | C | 5,073.5410 | 27.55 | |||||||
JERSEY CITY NJ 07399-0002 | ||||||||||
SAM A VENABLE | C | 1,708.5920 | 9.28 | |||||||
SAM A VENABLE SEP PLAN | ||||||||||
11915 YARNELL RD | ||||||||||
KNOXVILLE TN 37932-2342 | ||||||||||
CHARLES C BANISTER | C | 1,006.8950 | 5.47 | |||||||
CHARLES C BANISTER DMD SIMPLE PLAN | ||||||||||
1 BIRCH ST | ||||||||||
DERRY NH 03038-2101 | ||||||||||
CHRISTOPHER J GRIFFIN & | I | 2,618.0920 | 7.52 | |||||||
JOANNA L GRIFFIN JTWROS | ||||||||||
12 CASTLE RD | ||||||||||
NORTH READING MA 01864-1919 | ||||||||||
MFS LIFETIME 2040 FUND | R6 | 310,109.2030 | 37.35 | |||||||
ATTN MFS GROUP | ||||||||||
1200 CROWN COLONY DR | ||||||||||
QUINCY MA 02169-0938 | ||||||||||
MFS LIFETIME 2030 FUND | R6 | 168,862.3270 | 20.34 | |||||||
ATTN MFS GROUP | ||||||||||
1200 CROWN COLONY DR | ||||||||||
QUINCY MA 02169-0938 | ||||||||||
MFS LIFETIME 2050 FUND | R6 | 123,860.6670 | 14.92 | |||||||
ATTN MFS GROUP | ||||||||||
1200 CROWN COLONY DR | ||||||||||
QUINCY MA 02169-0938 | ||||||||||
MFS LIFETIME 2035 FUND | R6 | 95,299.2020 | 11.48 | |||||||
ATTN MFS GROUP | ||||||||||
1200 CROWN COLONY DR | ||||||||||
QUINCY MA 02169-0938 | ||||||||||
MFS LIFETIME 2045 FUND | R6 | 92,817.2220 | 11.18 | |||||||
ATTN MFS GROUP | ||||||||||
1200 CROWN COLONY DR | ||||||||||
QUINCY MA 02169-0938 | ||||||||||
MFS CALIFORNIA MUNICIPAL BOND FUND | ||||||||||
MORGAN STANLEY SMITH BARNEY | A | 3,090,816.4130 | 7.15 | |||||||
HARBORSIDE FINANCIAL CENTER | B | 39,181.8110 | 7.82 | |||||||
PLAZA 2 3RD FLOOR | C | 736,529.6320 | 12.20 | |||||||
JERSEY CITY NJ 07311 | ||||||||||
PERSHING LLC | B | 69,091.2920 | 13.79 | |||||||
1 PERSHING PLZ | C | 359,290.6110 | 5.95 | |||||||
JERSEY CITY NJ 07399-0002 |
Schedule F-12
Name and Address of Shareholder | Class of Shares | Number of Outstanding Shares Beneficially Owned | Percentage of Outstanding Shares of Noted Class Owned | |||||||
MFS COMMODITY STRATEGY FUND | ||||||||||
MASSACHUSETTS FINANCIAL SERVICES COMPANY | A | 8,175.8170 | 100.00 | |||||||
111 HUNTINGTON AVENUE | I | 8,195.1190 | 100.00 | |||||||
BOSTON MA 02199-7632 | ||||||||||
MFS GROWTH ALLOCATION FUND | I | 33,838,319.0300 | 35.38 | |||||||
ATTN: LCC 3RD FL MFS GRP | ||||||||||
2 AVENUE DE LAFAYETTE | ||||||||||
BOSTON MA 02111-1750 | ||||||||||
MFS MODERATE ALLOCATION FUND | I | 30,219,042.8750 | 31.60 | |||||||
ATTN: LCC 3RD FL MFS GRP | ||||||||||
2 AVENUE DE LAFAYETTE | ||||||||||
BOSTON MA 02111-1750 | ||||||||||
MFS AGGRESSIVE GROWTH ALLOCATION FUND | I | 13,593,076.1040 | 14.21 | |||||||
ATTN: LCC 3RD FL MFS GRP | ||||||||||
2 AVENUE DE LAFAYETTE | ||||||||||
BOSTON MA 02111-1750 | ||||||||||
MFS CONSERVATIVE ALLOC FUND | I | 5,070,228.8280 | 5.30 | |||||||
ATTN: LCC 3RD FL MFS GRP | ||||||||||
2 AVENUE DE LAFAYETTE | ||||||||||
BOSTON MA 02111-1750 | ||||||||||
MFS CONSERVATIVE ALLOCATION FUND | ||||||||||
PERSHING LLC | A | 6,899,248.3910 | 7.40 | |||||||
1 PERSHING PLZ | B | 1,458,753.5340 | 15.01 | |||||||
JERSEY CITY NJ 07399-0002 | C | 4,678,174.3380 | 9.75 | |||||||
I | 758,188.2320 | 5.19 | ||||||||
MASSACHUSETTS FINANCIAL SERVICES COMPANY | I | 1,996,040.3560 | 13.66 | |||||||
111 HUNTINGTON AVENUE | ||||||||||
BOSTON MA 02199-7632 | ||||||||||
VOYA | R2 | 1,244,122.8760 | 18.90 | |||||||
RETIREMENT INS & ANNUITY CO | ||||||||||
1 ORANGE WAY B3N | ||||||||||
WINDSOR CT 06095-4773 | ||||||||||
MASSMUTUAL | R3 | 3,030,439.9150 | 28.89 | |||||||
PO BOX 48529 | ||||||||||
ATLANTA GA 30362-1529 | ||||||||||
GREAT-WEST TRUST COMPANY LLC TTEE F | R3 | 1,173,967.7690 | 16.57 | |||||||
EMPLOYEE BENEFITS CLIENTS 401K | R4 | 644,535.2950 | 10.96 | |||||||
8515 E ORCHARD RD 2T2 | ||||||||||
GREENWOOD VLG CO 80111-5002 | ||||||||||
TAYNIK & CO | R3 | 683,533.2920 | 6.52 | |||||||
CO STATE STREET BANK & TRUST | ||||||||||
1200 CROWN COLONY DR | ||||||||||
QUINCY MA 02169-0938 | ||||||||||
FIDELITY INVESTMENTS INSTITUTIONAL OPERATIONS CO INC | R4 | 934,204.2240 | 11.05 | |||||||
QUALIFIED EMPLOYEE | ||||||||||
PLANS 401K FINOPS-IC FUNDS | ||||||||||
100 MAGELLAN WAY # KW1C | ||||||||||
COVINGTON KY 41015-1987 | ||||||||||
ASSOC MED PROFESSIONALS OF NY PLLC | 443,095.6210 | 5.24 | ||||||||
PO BOX 52129 | ||||||||||
PHOENIX AZ 85072-2129 |
Schedule F-13
Name and Address of Shareholder | Class of Shares | Number of Outstanding Shares Beneficially Owned | Percentage of Outstanding Shares of Noted Class Owned | |||||||
MFS CORE EQUITY FUND | ||||||||||
PERSHING LLC | A | 1,893,717.6380 | 5.51 | |||||||
1 PERSHING PLZ | B | 72,035.0720 | 6.13 | |||||||
JERSEY CITY NJ 07399-0002 | C | 277,670.9740 | 7.60 | |||||||
I | 259,675.3670 | 8.70 | ||||||||
HARTFORD LIFE INS CO | R2 | 44,957.1480 | 7.67 | |||||||
ATTN UIT OPERATIONS | ||||||||||
PO BOX 2999 | ||||||||||
HARTFORD CT 06104-2999 | ||||||||||
NE MED CENTER 403B | R3 | 1,612,099.7520 | 61.55 | |||||||
PO BOX 10758 | ||||||||||
FARGO ND 58106-0758 | ||||||||||
VOYA INSTITUTIONAL TRUST COMPANY | R4 | 194,481.2730 | 32.96 | |||||||
1 ORANGE WAY B3N | ||||||||||
WINDSOR CT 06095-4773 | ||||||||||
STATE STREET BANK TRUST CO | R4 | 160,677.1970 | 27.23 | |||||||
TRUSTEE VARIOUS RETIREMENT PLANS | ||||||||||
440 MAMARONECK AVE | ||||||||||
HARRISON NY 10528-2418 | ||||||||||
GREAT-WEST TRUST COMPANY LLC TTEE F | R4 | 84,056.2540 | 14.24 | |||||||
EMPLOYEE BENEFITS CLIENTS 401K | ||||||||||
8515 E ORCHARD RD 2T2 | ||||||||||
GREENWOOD VLG CO 80111-5002 | ||||||||||
STATE OF LOUISIANA TRUSTEE | R6 | 9,080,258.2460 | 87.80 | |||||||
FBO LOUISIANA PUBLIC EMPLOYEES DCP | ||||||||||
8515 E ORCHARD RD # 2T2 | ||||||||||
GREENWOOD VLG CO 80111-5002 | ||||||||||
MFS CORPORATE BOND FUND | ||||||||||
PERSHING LLC | B | 385,808.8800 | 7.91 | |||||||
1 PERSHING PLZ | C | 2,213,371.0480 | 11.54 | |||||||
JERSEY CITY NJ 07399-0002 | ||||||||||
MORGAN STANLEY SMITH BARNEY | I | 4,423,173.6460 | 5.40 | |||||||
HARBORSIDE FINANCIAL CENTER | ||||||||||
PLAZA 2 3RD FLOOR | ||||||||||
JERSEY CITY NJ 07311 | ||||||||||
MASSMUTUAL | R1 | 286,588.1400 | 57.17 | |||||||
PO BOX 48529 | ||||||||||
ATLANTA GA 30362-1529 | ||||||||||
VOYA RETIREMENT INS & ANNUITY CO | R2 | 622,630.3950 | 15.19 | |||||||
1 ORANGE WAY B3N | ||||||||||
WINDSOR CT 06095-4773 | ||||||||||
PIMS/PRUDENTIAL RETPLAN | R4 | 6,897,297.0190 | 57.72 | |||||||
NOMINEE TRUSTEE CUSTODIAN | ||||||||||
767 MGM RESORTS 401K SAVINGS PLAN | ||||||||||
4886 FRANK SINATRA DR | ||||||||||
LAS VEGAS NV 89158-4316 | ||||||||||
STATE STREET BANK TRUST CO | R6 | 1,465,644.5350 | 47.30 | |||||||
TRUSTEE VARIOUS RETIREMENT PLANS | ||||||||||
440 MAMARONECK AVE | ||||||||||
HARRISON NY 10528-2418 |
Schedule F-14
Name and Address of Shareholder | Class of Shares | Number of Outstanding Shares Beneficially Owned | Percentage of Outstanding Shares of Noted Class Owned | |||||||
MFS DIVERSIFIED INCOME FUND | ||||||||||
PERSHING LLC | A | 8,311,727.3990 | 6.38 | |||||||
1 PERSHING PLZ | C | 7,947,807.5540 | 9.16 | |||||||
JERSEY CITY NJ 07399-0002 | ||||||||||
MORGAN STANLEY SMITH BARNEY | C | 7,546,957.6180 | 8.70 | |||||||
HARBORSIDE FINANCIAL CENTER | I | 8,328,455.8550 | 9.99 | |||||||
PLAZA 2 3RD FLOOR | ||||||||||
JERSEY CITY NJ 07311 | ||||||||||
STANDISH-STERLING COMM (MI) 403(B) | R1 | 9,660.9910 | 9.55 | |||||||
717 17TH ST STE 1300 | ||||||||||
DENVER CO 80202-3304 | ||||||||||
ANN ARBOR PUBLIC SCHOOL (MI) 403(B) | R1 | 5,854.6660 | 5.79 | |||||||
717 17TH ST STE 1300 | ||||||||||
DENVER CO 80202-3304 | ||||||||||
FOUNTAIN VALLEY ORTHOTICS & PR | R1 | 8,359.4330 | 8.26 | |||||||
401(K) PROFIT SHARING PLAN & TRUST | ||||||||||
1251 WATERFRONT PL STE 525 | ||||||||||
PITTSBURGH PA 15222-4228 | ||||||||||
HARVEY VOLUNTEER FIRE COMPANY 401K | R1 | 6,218.3650 | 6.15 | |||||||
PSP & TRUST | ||||||||||
1251 WATERFRONT PL STE 525 | ||||||||||
PITTSBURGH PA 15222-4228 | ||||||||||
PAI TRUST COMPANY INC | R1 | 8,258.3970 | 8.16 | |||||||
UNITED MACHINE WORKS, INC 401(K) P | ||||||||||
1300 ENTERPRISE DR | ||||||||||
DE PERE WI 54115-4934 | ||||||||||
CAPITAL SANITARY SUPPLY CO INC | R2 | 21,677.5470 | 6.30 | |||||||
100 MAGELLAN WAY | ||||||||||
COVINGTON KY 41015-1999 | ||||||||||
JOHN HANCOCK TRUST COMPANY LLC | R2 | 38,980.0310 | 11.32 | |||||||
690 CANTON ST STE 100 | ||||||||||
WESTWOOD MA 02090-2324 | ||||||||||
STATE STREET BANK TRUST CO | R3 | 384,763.6890 | 25.35 | |||||||
TRUSTEE VARIOUS RETIREMENT PLANS | ||||||||||
440 MAMARONECK AVE | ||||||||||
HARRISON NY 10528-2418 | ||||||||||
SHAKE & GO FASHION INC 401(K) PRO | R3 | 182,729.2030 | 12.04 | |||||||
1251 WATERFRONT PL STE 525 | ||||||||||
PITTSBURGH PA 15222-4228 | ||||||||||
JOHN HANCOCK TRUST COMPANY LLC | R4 | 142,266.6620 | 29.80 | |||||||
690 CANTON ST STE 100 | ||||||||||
WESTWOOD MA 02090-2324 | ||||||||||
NATIONWIDE TRUST COMPANY, FSB | R4 | 110,420.4810 | 23.13 | |||||||
C/O IPO ACCOUNTING | ||||||||||
PO BOX 182029 | ||||||||||
COLUMBUS OH 43218-2029 | ||||||||||
GREAT-WEST TRUST COMPANY LLC TTEE FBO | R4 | 68,424.2030 | 14.33 | |||||||
EMPLOYEE BENEFITS CLIENTS 401K | ||||||||||
8515 E ORCHARD RD 2T2 | ||||||||||
GREENWOOD VLG CO 80111-5002 |
Schedule F-15
Name and Address of Shareholder | Class of Shares | Number of Outstanding Shares Beneficially Owned | Percentage of Outstanding Shares of Noted Class Owned | |||||||
MFS DIVERSIFIED INCOME FUND – continued | ||||||||||
ASCENSUS TRUST COMPANY FBO | R4 | 62,080.3960 | 13.02 | |||||||
THE TILE SHOP INC 401K PROFIT SHARI | ||||||||||
PO BOX 10758 | ||||||||||
FARGO ND 58106-0758 | ||||||||||
PIMS/PRUDENTIAL RETIREMENT | R4 | 40,040.2390 | 8.39 | |||||||
AS NOMINEE FOR THE TTEE/CUST PL 006 | ||||||||||
HERZFELD & RUBIN, P.C. EMPLOYEES | ||||||||||
125 BROAD STREET | ||||||||||
NEW YORK NY 10004-2400 | ||||||||||
ADP ACCESS PRODUCT | R6 | 211,320.4180 | 17.24 | |||||||
1 LINCOLN ST | ||||||||||
BOSTON MA 02111-2900 | ||||||||||
MFS EMERGING MARKETS DEBT FUND | ||||||||||
PERSHING LLC | A | 2,343,134.6060 | 6.46 | |||||||
1 PERSHING PLZ | B | 179,512.1750 | 8.6 | |||||||
JERSEY CITY NJ 07399-0002 | ||||||||||
MORGAN STANLEY SMITH BARNEY | B | 125,088.1170 | 6.00 | |||||||
HARBORSIDE FINANCIAL CENTER | C | 1,569,968.5140 | 11.08 | |||||||
PLAZA 2 3RD FLOOR | ||||||||||
JERSEY CITY NJ 07311 | ||||||||||
PERSHING LLC | C | 1,146,057.5820 | 8.09 | |||||||
1 PERSHING PLZ | ||||||||||
JERSEY CITY NJ 07399-0002 | ||||||||||
CENTER FOR INFECTIOUS DISEASES | R1 | 22,288.1420 | 36.15 | |||||||
401(K) PSP & TRUST | ||||||||||
1251 WATERFRONT PL STE 525 | ||||||||||
PITTSBURGH PA 15222-4228 | ||||||||||
GRAY MATTER SYSTEMS LLC 401K PSP & TRUST | R1 | 4,782.6590 | 7.76 | |||||||
1251 WATERFRONT PL STE 525 | ||||||||||
PITTSBURGH PA 15222-4228 | ||||||||||
MASSACHUSETTS FINANCIAL SERVICES COMPANY | R1 | 3,668.7350 | 5.95 | |||||||
111 HUNTINGTON AVENUE | ||||||||||
BOSTON MA 02199-7632 | ||||||||||
FRANK C HAMPEL JR FBO | R1 | 3,289.8760 | 5.34 | |||||||
FRANK C HAMPEL JR MD PA 401K PSP & TRUST | ||||||||||
705 LANDA ST STE A | ||||||||||
NEW BRAUNFELS TX 78130-6163 | ||||||||||
HARTFORD LIFE INS CO | R2 | 969,363.0320 | 58.09 | |||||||
PO BOX 2999 | ||||||||||
HARTFORD CT 06104-2999 | ||||||||||
VOYA RETIREMENT INS & ANNUITY CO | R2 | 205,165.5590 | 12.30 | |||||||
1 ORANGE WAY B3N | ||||||||||
WINDSOR CT 06095-4773 | ||||||||||
JOHN HANCOCK LIFE INSURANCE CO USA | R3 | 1,058,323.1230 | 31.61 | |||||||
RPS TRADING OPS ST-4 | ||||||||||
601 CONGRESS ST | ||||||||||
BOSTON MA 02210-2805 |
Schedule F-16
Name and Address of Shareholder | Class of Shares | Number of Outstanding Shares Beneficially Owned | Percentage of Outstanding Shares of Noted Class Owned | |||||||
MFS EMERGING MARKETS DEBT FUND – continued | ||||||||||
MERCER TRUST CO TRUSTEE FBO | R3 | 576,152.5490 | 17.21 | |||||||
HD SUPPLY 401K RETPLAN | ||||||||||
ATTN DC PLAN ADMIN MS N-1-G | ||||||||||
1 INVESTORS WAY | ||||||||||
NORWOOD MA 02062-1599 | ||||||||||
HARTFORD LIFE INS CO | R3 | 444,706.0550 | 13.28 | |||||||
ATTN UIT OPERATIONS | ||||||||||
PO BOX 2999 | ||||||||||
HARTFORD CT 06104-2999 | ||||||||||
TWIN CITY PIPE TRADES PENSPLAN | R4 | 658,508.4100 | 12.43 | |||||||
PO BOX 52129 | ||||||||||
PHOENIX AZ 85072-2129 | ||||||||||
FMTC TTEE | R4 | 705,525.6410 | 13.31 | |||||||
K&L MODERATE MODEL PORTFOLIO | ||||||||||
ATTN: UNITIZED GROUP | ||||||||||
1 SPARTAN WAY | ||||||||||
MERRIMACK NH 03054-4300 | ||||||||||
STATE STREET BANK TRUST CO | R4 | 328,712.2330 | 6.20 | |||||||
TRUSTEE VARIOUS RETIREMENT PLANS | ||||||||||
440 MAMARONECK AVE | ||||||||||
HARRISON NY 10528-2418 | ||||||||||
PRUDENTIAL BANK & TRUST FSB TTEE | R4 | 428,734.4200 | 8.09 | |||||||
SAN FRANCISCO EMPLOYEES RET SYS | ||||||||||
80 LIVINGSTON AVE | ||||||||||
ROSELAND NJ 07068-1753 | ||||||||||
MFS MODERATE ALLOCATION FUND | R6 | 12,033,827.6260 | 22.97 | |||||||
ATTN: LCC 3RD FL MFS GRP | ||||||||||
2 AVENUE DE LAFAYETTE | ||||||||||
BOSTON MA 02111-1750 | ||||||||||
MFS GROWTH ALLOCATION FUND | R6 | 10,040,365.4990 | 19.17 | |||||||
ATTN: LCC 3RD FL MFS GRP | ||||||||||
2 AVENUE DE LAFAYETTE | ||||||||||
BOSTON MA 02111-1750 | ||||||||||
MFS CONSERVATIVE ALLOCATION FUND | R6 | 6,079,324.6520 | 11.61 | |||||||
ATTN: LCC 3RD FL MFS GRP | ||||||||||
2 AVENUE DE LAFAYETTE | ||||||||||
BOSTON MA 02111-1750 | ||||||||||
MFS EMERGING MARKETS DEBT LOCAL CURRENCY FUND | ||||||||||
PERSHING LLC | A | 163,809.2300 | 41.32 | |||||||
1 PERSHING PLZ | C | 13,795.3190 | 18.34 | |||||||
JERSEY CITY NJ 07399-0002 | I | 78,155.1530 | 29.08 | |||||||
MASSACHUSETTS FINANCIAL SERVICES COMPANY | B | 7,788.1380 | 26.21 | |||||||
111 HUNTINGTON AVENUE | R3 | 7,848.6870 | 18.11 | |||||||
BOSTON MA 02199-7632 | R4 | 7,884.8200 | 100.00 | |||||||
EDWARD MILNER (IRA) | B | 3,732.8900 | 12.56 | |||||||
14 COBB LN | ||||||||||
COMMACK NY 11725-2102 | ||||||||||
JOSEPH A MIZZI | B | 1,815.4310 | 6.11 | |||||||
33 NELSON ST, APT 2 | ||||||||||
FARMINGDALE NY 11735-4225 |
Schedule F-17
Name and Address of Shareholder | Class of Shares | Number of Outstanding Shares Beneficially Owned | Percentage of Outstanding Shares of Noted Class Owned | |||||||
MFS EMERGING MARKETS DEBT LOCAL CURRENCY FUND – continued | ||||||||||
MASSACHUSETTS FINANCIAL SERVICES COMPANY | R1 | 7,779.7230 | 90.17 | |||||||
111 HUNTINGTON AVENUE | R2 | 7,837.7720 | 100.00 | |||||||
BOSTON MA 02199-7632 | ||||||||||
HIGH VOLTAGE SOFTWARE INC 401(K) PLAN | R3 | 31,439.6660 | 72.53 | |||||||
100 MAGELLAN WAY | ||||||||||
COVINGTON KY 41015-1999 | ||||||||||
MFS MODERATE ALLOCATION FUND | R6 | 17,204,026.6480 | 38.39 | |||||||
ATTN: MFS GROUP | ||||||||||
1200 CROWN COLONY DR | ||||||||||
QUINCY MA 02169-0938 | ||||||||||
MFS GROWTH ALLOCATION FUND | R6 | 14,367,844.6730 | 32.06 | |||||||
ATTN: MFS GROUP | ||||||||||
1200 CROWN COLONY DR | ||||||||||
QUINCY MA 02169-0938 | ||||||||||
MFS CONSERVATIVE ALLOCATION FUND | R6 | 8,693,468.4400 | 19.40 | |||||||
ATTN: MFS GROUP | ||||||||||
1200 CROWN COLONY DR | ||||||||||
QUINCY MA 02169-0938 | ||||||||||
MFS EMERGING MARKETS EQUITY FUND | ||||||||||
PERSHING LLC | A | 400,700.5640 | 9.80 | |||||||
1 PERSHING PLZ | B | 23,472.5060 | 10.21 | |||||||
JERSEY CITY NJ 07399-0002 | C | 96,154.1540 | 11.28 | |||||||
I | 500,014.3930 | 58.73 | ||||||||
GREAT-WEST TRUST COMPANY LLC TTEE/C | A | 320,919.5430 | 8.96 | |||||||
FBO:GREAT WEST IRA ADVANTAGE | ||||||||||
C/O FASCORE LLC | ||||||||||
8515 E ORCHARD RD 2T2 | ||||||||||
GREENWOOD VLG CO 80111-5002 | ||||||||||
MASS MUTUAL LIFE INSURANCE CO | A | 212,323.0660 | 5.19 | |||||||
ATTN RS FUND OPERATIONS | R1 | 6,684.7440 | 39.49 | |||||||
1295 STATE ST | R2 | 94,271.6950 | 55.40 | |||||||
SPRINGFIELD MA 01111-0001 | R3 | 4,294.6180 | 6.43 | |||||||
MORGAN STANLEY SMITH BARNEY | B | 15,493.4210 | 6.74 | |||||||
HARBORSIDE FINANCIAL CENTER | C | 82,447.8540 | 9.67 | |||||||
PLAZA 2 3RD FLOOR | ||||||||||
JERSEY CITY NJ 07311 | ||||||||||
NG BEACON MEDICAL SVCS FBO G. PINEDA | R1 | 2,465.2490 | 14.56 | |||||||
C/O BMO HARRIS BANK NA ATTN MF | ||||||||||
480 PILGRIM WAY, SUITE 1000 | ||||||||||
GREEN BAY WI 54304-5280 | ||||||||||
MASSACHUSETTS FINANCIAL SERVICES CO | R1 | 2,347.8650 | 13.87 | |||||||
111 HUNTINGTON AVENUE | ||||||||||
BOSTON MA 02199-7632 | ||||||||||
TAYNIK & CO | R1 | 1,364.7670 | 8.06 | |||||||
CO STATE STREET BANK & TRUST | R3 | 4,957.5550 | 7.43 | |||||||
1200 CROWN COLONY DR | ||||||||||
QUINCY MA 02169-0938 | ||||||||||
HARTFORD LIFE INS CO | R2 | 32,481.8320 | 19.09 | |||||||
ATTN UIT OPERATIONS | ||||||||||
PO BOX 2999 | ||||||||||
HARTFORD CT 06104-2999 |
Schedule F-18
Name and Address of Shareholder | Class of Shares | Number of Outstanding Shares Beneficially Owned | Percentage of Outstanding Shares of Noted Class Owned | |||||||
MFS EMERGING MARKETS EQUITY FUND – continued | �� | |||||||||
GREAT-WEST TRUST CO LLC | R3 | 4,520.8650 | 30.56 | |||||||
TRUSTEE F EMPLOYEE BENEFITS CLIENTS | ||||||||||
401K FG | ||||||||||
8515 E ORCHARD RD # 2T2 | ||||||||||
GREENWOOD VLG CO 80111-5002 | ||||||||||
CLIPPARD INSTRUMENT LABORATORY, INC | R3 | 7,529.6060 | 11.28 | |||||||
100 MAGELLAN WAY | ||||||||||
COVINGTON KY 41015-1999 | ||||||||||
GREAT-WEST LIFE & ANNUITY | R3 | 8,206.4850 | 12.30 | |||||||
FBO FUTURE FUNDS II | ||||||||||
8515 E ORCHARD RD # 2T2 | ||||||||||
GREENWOOD VLG CO 80111-5002 | ||||||||||
VRSCO | R4 | 145,891.4570 | 94.04 | |||||||
FBO AIGFSB CUST TTEE FBO | ||||||||||
NASSAU HEALTHCARE CORPORATION 457 | ||||||||||
2929 ALLEN PKWY STE A6-20 | ||||||||||
HOUSTON TX 77019-7117 | ||||||||||
MFS INTERNATIONAL DIVERSIFICATION FUND | R6 | 19,551,907.5600 | 84.01 | |||||||
ATTN: LCC 3RD FL MFS GROUP | ||||||||||
2 AVENUE DE LAFAYETTE | ||||||||||
BOSTON MA 02111-1750 | ||||||||||
MFS GROWTH ALLOCATION FUND | R6 | 1,786,932.9000 | 7.68 | |||||||
ATTN: LCC 3RD FL MFS GRP | ||||||||||
2 AVENUE DE LAFAYETTE | ||||||||||
BOSTON MA 02111-1750 | ||||||||||
MFS EQUITY INCOME FUND | ||||||||||
PERSHING LLC | C | 84,033.3410 | 5.69 | |||||||
1 PERSHING PLZ | ||||||||||
JERSEY CITY NJ 07399-0002 | ||||||||||
PAUL R SKINNER | I | 78,762.9860 | 7.80 | |||||||
220 BEACON ST APT 303 | ||||||||||
BOSTON MA 02116-1324 | ||||||||||
MASSACHUSETTS FINANCIAL SERVICES COMPANY | R1 | 3,978.7090 | 73.27 | |||||||
111 HUNTINGTON AVENUE | R2 | 4,007.7730 | 64.32 | |||||||
BOSTON MA 02199-7632 | R3 | 4,023.1810 | 47.27 | |||||||
R4 | 4,035.7890 | 100.00 | ||||||||
PARK COUNTY SCHOOL DIST 6 403 B | R2 | 1,289.6320 | 20.70 | |||||||
717 17TH ST STE 1300 | ||||||||||
DENVER CO 80202-3304 | ||||||||||
WALLENPAUK AREA SCHOOL PA 403 B | R2 | 314.3200 | 5.04 | |||||||
717 17TH ST STE 1300 | ||||||||||
DENVER CO 80202-3304 | ||||||||||
ALERUS FINANCIAL FBO | R3 | 2,299.5880 | 27.02 | |||||||
ALERUS FINANCIAL FBO ACTION PAWN 401(K) PSP | ||||||||||
PO BOX 64535 | ||||||||||
SAINT PAUL MN 55164-0535 | ||||||||||
DALLASTOWN AREA SD (PA) 403(B) | R3 | 1,305.6620 | 15.34 | |||||||
717 17TH ST STE 1300 | ||||||||||
DENVER CO 80202-3304 |
Schedule F-19
Name and Address of Shareholder | Class of Shares | Number of Outstanding Shares Beneficially Owned | Percentage of Outstanding Shares of Noted Class Owned | |||||||
MFS EQUITY OPPORTUNITIES FUND | ||||||||||
PERSHING LLC | A | 855,389.3230 | 12.50 | |||||||
1 PERSHING PLZ | B | 45,032.9730 | 9.47 | |||||||
JERSEY CITY NJ 07399-0002 | C | 304,710.1360 | 8.53 | |||||||
I | 271,832.5240 | 7.29 | ||||||||
MORGAN STANLEY SMITH BARNEY | A | 367,077.6310 | 5.37 | |||||||
HARBORSIDE FINANCIAL CENTER | B | 25,717.0180 | 5.41 | |||||||
PLAZA 2 3RD FLOOR | C | 338,015.9110 | 9.47 | |||||||
JERSEY CITY NJ 07311 | I | 671,502.7710 | 18.00 | |||||||
KENNETH C ANDREWS FBO | R1 | 3,917.1320 | 44.01 | |||||||
K & A RADIOLOGIC TECHNOLOGY SE 401K PSP & TRUST | ||||||||||
6400 COLLAMER RD | ||||||||||
EAST SYRACUSE NY 13057-1032 | ||||||||||
INDIAN PRAIRIE SD #204 403 B PLAN | R1 | 1,524.4360 | 17.13 | |||||||
717 17TH ST STE 1300 | ||||||||||
DENVER CO 80202-3304 | ||||||||||
GREENVILLE CITY SCHOOLS (TN) 403(B) | R1 | 687.2690 | 7.72 | |||||||
717 17TH ST STE 1300 | ||||||||||
DENVER CO 80202-3304 | ||||||||||
CHIRON AMERICA INC 401(K) PROFIT SHARING PLAN | R2 | 11,692.3980 | 20.80 | |||||||
100 MAGELLAN WAY | ||||||||||
COVINGTON KY 41015-1999 | ||||||||||
ROBERT J NICKLES INC EMPLOYEES’ | R2 | 6,322.7960 | 11.25 | |||||||
717 17TH ST STE 1300 | ||||||||||
DENVER CO 80202-3304 | ||||||||||
ADP ACCESS PRODUCT | R2 | 6,132.1910 | 10.91 | |||||||
1 LINCOLN ST | ||||||||||
BOSTON MA 02111-2900 | ||||||||||
UNITED AUDIT SYSTEMS SAVINGS & INVESTMENT PLAN | R3 | 19,347.8370 | 36.53 | |||||||
100 MAGELLAN WAY | ||||||||||
COVINGTON KY 41015-1999 | ||||||||||
BREAKAWAY TECHNOLOGIES, INC. 401(K) PLAN | R3 | 6,594.9260 | 12.45 | |||||||
100 MAGELLAN WAY | ||||||||||
COVINGTON KY 41015-1999 | ||||||||||
GEORGE WASHINGTON MEMORIAL PARK | R3 | 5,758.9150 | 10.87 | |||||||
PROFIT SHARING 401(K) PLAN | ||||||||||
100 MAGELLAN WAY | ||||||||||
COVINGTON KY 41015-1999 | ||||||||||
ESSEX ORTHOPAEDICS & OPTIMA SPORTS MEDICINE, PLLC | R3 | 5,606.6410 | 10.59 | |||||||
100 MAGELLAN WAY | ||||||||||
COVINGTON KY 41015-1999 | ||||||||||
JOHN YOUNGBLOOD MOTOR’S SALARY | R3 | 2,877.0820 | 5.43 | |||||||
SAVINGS & PROFIT SHARING PLAN | ||||||||||
100 MAGELLAN WAY | ||||||||||
COVINGTON KY 41015-1999 | �� | |||||||||
LINCOLN RETIREMENT SERVICES COMPANY | R6 | 89,872.3650 | 27.12 | |||||||
FBO TITLE GUARANTY OF HAWAII 401K | ||||||||||
PO BOX 7876 | ||||||||||
FORT WAYNE IN 46801-7876 |
Schedule F-20
Name and Address of Shareholder | Class of Shares | Number of Outstanding Shares Beneficially Owned | Percentage of Outstanding Shares of Noted Class Owned | |||||||
MFS GEORGIA MUNICIPAL BOND FUND | ||||||||||
MORGAN STANLEY SMITH BARNEY | A | 362,557.1460 | 6.47 | |||||||
HARBORSIDE FINANCIAL CENTER | ||||||||||
JERSEY CITY NJ 07311 | ||||||||||
PERSHING LLC | B | 6,349.9930 | 5.73 | |||||||
1 PERSHING PLZ | ||||||||||
JERSEY CITY NJ 07399-0002 | ||||||||||
MFS GLOBAL ALTERNATIVE STRATEGY FUND | ||||||||||
PERSHING LLC | A | 2,159,504.5410 | 19.66 | |||||||
1 PERSHING PLZ | B | 62,167.9890 | 7.34 | |||||||
JERSEY CITY NJ 07399-0002 | C | 317,829.8550 | 7.38 | |||||||
MORGAN STANLEY SMITH BARNEY | C | 372,957.0950 | 8.66 | |||||||
HARBORSIDE FINANCIAL CENTER | I | 4,799,739.2970 | 14.50 | |||||||
PLAZA 2 3RD FLOOR | ||||||||||
JERSEY CITY NJ 07311 | ||||||||||
BOK TTEE JACKSON WALKER QRP FBO | R1 | 8,709.0160 | 25.80 | |||||||
SHELLY BELL JACKSON WALKER QRP | ||||||||||
PO BOX 2180 | ||||||||||
TULSA OK 74101-2180 | ||||||||||
NORWALK PUBLIC SCHOOLS (CT) 403(B) | R1 | 3,860.0780 | 11.43 | |||||||
717 17TH ST STE 1300 | ||||||||||
DENVER CO 80202-3304 | ||||||||||
INDIAN PRAIRIE SD #204 403 B PLAN | R1 | 2,267.6160 | 6.72 | |||||||
717 17TH ST STE 1300 | ||||||||||
DENVER CO 80202-3304 | ||||||||||
MASSACHUSETTS FINANCIAL SERVICES COMPANY | R1 | 4,948.7180 | 14.66 | |||||||
111 HUNTINGTON AVENUE | R3 | 4,816.5260 | 5.23 | |||||||
BOSTON MA 02199-7632 | ||||||||||
WEST KNOX UTILITY DISTRICT DB | R2 | 52,732.8660 | 39.99 | |||||||
PO BOX 1090 | ||||||||||
PARIS TN 38242-1090 | ||||||||||
KNOX CHAPMAN UTILITY DISTRICT | R2 | 41,899.2130 | 31.78 | |||||||
PO BOX 1090 | ||||||||||
PARIS TN 38242-1090 | ||||||||||
TEAM VELOCITY MARKETING LLC 401(K) PLAN | R2 | 10,048.3480 | 7.62 | |||||||
100 MAGELLAN WAY | ||||||||||
COVINGTON KY 41015-1999 | ||||||||||
ECONOMIC DEVELOPMENT GROWTH 401(K) | R3 | 6,813.1170 | 7.40 | |||||||
1251 WATERFRONT PL STE 525 | ||||||||||
PITTSBURGH PA 15222-4228 | �� | |||||||||
AMERITAS LIFE INSURANCE CORP | R3 | 4,664.3450 | 5.07 | |||||||
5900 O ST | ||||||||||
LINCOLN NE 68510-2234 | ||||||||||
OXFORD NETWORKS 401(K) & PROFIT SHARING PLAN | R4 | 9,011.3760 | 39.25 | |||||||
100 MAGELLAN WAY | ||||||||||
COVINGTON KY 41015-1999 | ||||||||||
KORUM AUTOMOTIVE GROUP INC SALARY DEFERRAL 401(K) PLAN | R4 | 6,327.5680 | 27.56 | |||||||
100 MAGELLAN WAY | ||||||||||
COVINGTON KY 41015-1999 |
Schedule F-21
Name and Address of Shareholder | Class of Shares | Number of Outstanding Shares Beneficially Owned | Percentage of Outstanding Shares of Noted Class Owned | |||||||
MFS GLOBAL ALTERNATIVE STRATEGY FUND – continued | ||||||||||
ASCENSUS TRUST COMPANY FBO | R4 | 4,354.5010 | 18.97 | |||||||
DESIGN NET ENGINEERING LLC 401(K) P | ||||||||||
PO BOX 10758 | ||||||||||
FARGO ND 58106-0758 | ||||||||||
DWS TRUST CO TTEE | R4 | 3,173.3430 | 13.82 | |||||||
FBO GRACE CHAPEL INC 403B PLAN | ||||||||||
PO BOX 1757 | ||||||||||
SALEM NH 03079-1143 | ||||||||||
FIDELITY INVESTMENTS INSTITUTIONAL OPERATIONS CO INC | R6 | 103,170.0530 | 18.33 | |||||||
QUALIFIED EMPLOYEE PLANS (401K) FINOPS-IC FUNDS | ||||||||||
100 MAGELLAN WAY # KW1C | ||||||||||
COVINGTON KY 41015-1987 | ||||||||||
CAP REG ORTHO PS | R6 | 65,445.1830 | 11.63 | |||||||
PO BOX 48529 | ||||||||||
ATLANTA GA 30362-1529 | ||||||||||
MFS GLOBAL BOND FUND | ||||||||||
PERSHING LLC | A | 93,890.3010 | 6.54 | |||||||
1 PERSHING PLZ | B | 14,138.7610 | 10.84 | |||||||
JERSEY CITY NJ 07399-0002 | C | 20,942.4320 | 8.09 | |||||||
I | 100,197.7300 | 27.20 | ||||||||
MASSACHUSETTS FINANCIAL SERVICES COMPANY | R1 | 5,961.6250 | 69.41 | |||||||
111 HUNTINGTON AVENUE | R2 | 5,998.0630 | 73.51 | |||||||
BOSTON MA 02199-7632 | R3 | 6,016.1430 | 62.41 | |||||||
R4 | 6,027.3030 | 100.00 | ||||||||
SELECT CONSTRUCTION CO INC 401K PSP & TRUST | R1 | 2,068.9360 | 24.09 | |||||||
1251 WATERFRONT PL STE 525 | ||||||||||
PITTSBURGH PA 15222-4228 | ||||||||||
HASTINGS PUBLIC SCHOOLS ISD200 403B | R2 | 483.4390 | 5.92 | |||||||
717 17TH ST STE 1300 | ||||||||||
DENVER CO 80202-3304 | ||||||||||
AYS STAFFING INC 401K PSP & TRUST | R2 | 629.8910 | 7.72 | |||||||
1251 WATERFRONT PL STE 525 | ||||||||||
PITTSBURGH PA 15222-4228 | ||||||||||
SUMMIT ENGINEERING CORPORATION 401(K) PLAN | R3 | 3,533.1090 | 36.65 | |||||||
100 MAGELLAN WAY | ||||||||||
COVINGTON KY 41015-1999 | ||||||||||
MFS MODERATE ALLOCATION FUND | R6 | 33,602,280.8320 | 47.60 | |||||||
2 AVENUE DE LAFAYETTE | ||||||||||
BOSTON MA 02111-1750 | ||||||||||
MFS CONSERVATIVE ALLOC FUND | R6 | 16,983,627.3930 | 24.06 | |||||||
ATTN: LCC 3RD FL MFS GRP | ||||||||||
2 AVENUE DE LAFAYETTE | ||||||||||
BOSTON MA 02111-1750 | ||||||||||
MFS GROWTH ALLOCATION FUND | R6 | 11,179,319.8380 | 15.84 | |||||||
ATTN: LCC 3RD FL MFS GRP | ||||||||||
2 AVENUE DE LAFAYETTE | ||||||||||
BOSTON MA 02111-1750 |
Schedule F-22
Name and Address of Shareholder | Class of Shares | Number of Outstanding Shares Beneficially Owned | Percentage of Outstanding Shares of Noted Class Owned | |||||||
MFS GLOBAL BOND FUND – continued | ||||||||||
MFS LIFETIME INCOME FUND | R6 | 3,583,425.5220 | 5.08 | |||||||
ATTN: LCC 3RD FL MFS GRP | ||||||||||
2 AVENUE DE LAFAYETTE | ||||||||||
BOSTON MA 02111-1750 | ||||||||||
MFS GLOBAL EQUITY FUND | ||||||||||
PERSHING LLC | A | 1,098,010.7170 | 6.07 | |||||||
1 PERSHING PLZ | B | 116,191.1970 | 15.25 | |||||||
JERSEY CITY NJ 07399-0002 | C | 459,008.3760 | 9.43 | |||||||
MORGAN STANLEY SMITH BARNEY | C | 632,918.1380 | 13.01 | |||||||
HARBORSIDE FINANCIAL CENTER | ||||||||||
PLAZA 2 3RD FLOOR | ||||||||||
JERSEY CITY NJ 07311 | ||||||||||
MASSMUTUAL | R1 | 68,456.9540 | 65.72 | |||||||
PO BOX 48529 | ||||||||||
ATLANTA GA 30362-1529 | ||||||||||
VOYA RETIREMENT INS & ANNUITY CO | R2 | 432,001.8450 | 30.66 | |||||||
1 ORANGE WAY B3N | ||||||||||
WINDSOR CT 06095-4773 | ||||||||||
MASSMUTUAL | R2 | 339,435.2230 | 24.09 | |||||||
PO BOX 48529 | R4 | 235,670.1010 | 7.38 | |||||||
ATLANTA GA 30362-1529 | ||||||||||
GREAT-WEST TRUST COMPANY LLC TTEE F | R3 | 462,070.9510 | 18.47 | |||||||
EMPLOYEE BENEFITS CLIENTS 401K | ||||||||||
8515 E ORCHARD RD 2T2 | ||||||||||
GREENWOOD VLG CO 80111-5002 | ||||||||||
TAYNIK & CO | R3 | 177,035.5200 | 6.49 | |||||||
CO STATE STREET BANK & TRUST | ||||||||||
1200 CROWN COLONY DR | ||||||||||
QUINCY MA 02169-0938 | ||||||||||
FIDELITY INVESTMENTS INSTITUTIONAL OPERATIONS CO INC | R4 | 1,316,093.8290 | 41.75 | |||||||
QUALIFIED EMPLOYEE PLANS 401K FINOPS-IC FUNDS | R6 | 2,467,140.7950 | 35.49 | |||||||
100 MAGELLAN WAY # KW1C | ||||||||||
COVINGTON KY 41015-1987 | ||||||||||
PIMS/PRUDENTIAL RETPLAN NOMINEE TRUSTEE CUSTODIAN | R4 | 190,180.0450 | 7.48 | |||||||
764 WAYNE COUNTY | ||||||||||
28 W ADAMS AVE STE 1900 | ||||||||||
DETROIT MI 48226-1610 | ||||||||||
US BANK NATIONAL ASSOCIATION | R6 | 3,243,124.0290 | 35.49 | |||||||
1555 N RIVER CENTER DR STE 302 | ||||||||||
MILWAUKEE WI 53212-3958 | ||||||||||
ALASKA ELECTRICAL PENSION FUND | R6 | 2,839,268.5900 | 17.07 | |||||||
2600 DENALI ST STE 200 | ||||||||||
ANCHORAGE AK 99503-2782 | ||||||||||
FBO BANK OF AMERICA N A FBO | R6 | 1,923,469.5560 | 11.56 | |||||||
KPMG PAR & PRSP COLLECTIVE TRUST DV | ||||||||||
PO BOX 92994 | ||||||||||
CHICAGO IL 60675-2994 |
Schedule F-23
Name and Address of Shareholder | Class of Shares | Number of Outstanding Shares Beneficially Owned | Percentage of Outstanding Shares of Noted Class Owned | |||||||
MFS GLOBAL GROWTH FUND | ||||||||||
MASSMUTUAL | A | 421,564.1850 | 8.06 | |||||||
PO BOX 48529 | R1 | 20,937.6570 | 75.17 | |||||||
ATLANTA GA 30362-1529 | ||||||||||
PERSHING LLC | A | 308,407.9240 | 5.90 | |||||||
1 PERSHING PLZ | B | 12,633.9710 | 7.93 | |||||||
JERSEY CITY NJ 07399-0002 | C | 25,556.6600 | 5.68 | |||||||
MORGAN STANLEY SMITH BARNEY | C | 33,968.3260 | 7.56 | |||||||
HARBORSIDE FINANCIAL CENTER | ||||||||||
PLAZA 2 3RD FLOOR | ||||||||||
JERSEY CITY NJ 07311 | ||||||||||
MASSACHUSETTS FINANCIAL SERVICES COMPANY | R1 | 1,860.5480 | 6.68 | |||||||
111 HUNTINGTON AVENUE | R4 | 1,643.9090 | 10.65 | |||||||
BOSTON MA 02199-7632 | ||||||||||
FIDELITY INVESTMENTS INSTITUTIONAL OPERATIONS CO INC | R3 | 16,209.5710 | 13.15 | |||||||
FBO AZRAEL, FRANZ, SCHWAB & LIPOWITZ | ||||||||||
PROFIT SHARING TRUST | ||||||||||
100 MAGELLAN WAY | ||||||||||
COVINGTON KY | ||||||||||
GREAT-WEST TRUST COMPANY LLC TTEE F | R3 | 9,929.1930 | 8.04 | |||||||
EMPLOYEE BENEFITS CLIENTS 401K | R4 | 6,826.6790 | 44.24 | |||||||
8515 E ORCHARD RD 2T2 | ||||||||||
GREENWOOD VLG CO 80111-5002 | ||||||||||
IONIC CAPITAL MANAGEMENT LLC 401K | R3 | 7,191.5710 | 5.82 | |||||||
PO BOX 10758 | ||||||||||
FARGO ND 58106-0758 | ||||||||||
MACHINE SPECIALTIES INC 401(K) | R3 | 6,177.9180 | 5.00 | |||||||
1251 WATERFRONT PL STE 525 | ||||||||||
PITTSBURGH PA 15222-4228 | ||||||||||
NATIONWIDE TRUST COMPANY, FSB | R4 | 5,780.0870 | 37.46 | |||||||
C/O IPO ACCOUNTING | ||||||||||
PO BOX 182029 | ||||||||||
COLUMBUS OH 43218-2029 | ||||||||||
MFS GLOBAL HIGH YIELD FUND | ||||||||||
PERSHING LLC | A | 2,808,149.7000 | 7.35 | |||||||
1 PERSHING PLZ | B | 245,295.4770 | 9.87 | |||||||
JERSEY CITY NJ 07399-0002 | C | 1,161,022.6260 | 10.66 | |||||||
R2 | 2,922.5530 | 8.48 | ||||||||
MASSACHUSETTS FINANCIAL SERVICES CO | R1 | 8,724.1850 | 43.10 | |||||||
111 HUNTINGTON AVENUE | R2 | 8,765.1180 | 25.42 | |||||||
BOSTON MA 02199-7632 | ||||||||||
ANN ARBOR PUBLIC SCHOOL (MI) 403(B) | R1 | 6,509.6400 | 32.16 | |||||||
717 17TH ST STE 1300 | ||||||||||
DENVER CO 80202-3304 | ||||||||||
STRATFORD METAL FINISHING INC. 401 | R2 | 2,749.4340 | 7.98 | |||||||
717 17TH ST STE 1300 | ||||||||||
DENVER CO 80202-3304 | ||||||||||
FARMINGTON AREA ISD #192 MN 403B | R2 | 2,188.5130 | 6.35 | |||||||
717 17TH ST STE 1300 | ||||||||||
DENVER CO 80202-3304 |
Schedule F-24
Name and Address of Shareholder | Class of Shares | Number of Outstanding Shares Beneficially Owned | Percentage of Outstanding Shares of Noted Class Owned | |||||||
MFS GLOBAL HIGH YIELD FUND – continued | ||||||||||
BELLEVILLE SCHOOL DISTRICT # 118 | R2 | 1,974.9850 | 5.73 | |||||||
717 17TH ST STE 1300 | ||||||||||
DENVER CO 80202-3304 | ||||||||||
GARY SCHAFFEL TTEE | R2 | 5,608.4490 | 16.27 | |||||||
SCHAFFEL DEVELOPMENT COMPANY INC | ||||||||||
15235 BURBANK BLVD STE C | ||||||||||
SHERMAN OAKS CA 91411-3553 | ||||||||||
RICHARD S HOROWITZ | R2 | 4,861.4440 | 14.10 | |||||||
8635 W 3RD ST STE 885 | ||||||||||
LOS ANGELES CA 90048-6170 | ||||||||||
PEDIATRIC DENTISTRY OF N ILLIONOIS | R2 | 3,347.4890 | 9.71 | |||||||
PO BOX 10758 | ||||||||||
FARGO ND 58106-0758 | ||||||||||
PIMS/PRUDENTIAL RETPLAN | R3 | 1,263,504.7040 | 90.64 | |||||||
NOMINEE TRUSTEE CUSTODIAN | ||||||||||
768 EMPLOYERS MUTUAL CASUALTY | ||||||||||
717 MULBERRY ST | ||||||||||
DES MOINES IA 50309-3872 | ||||||||||
NATIONWIDE TRUST COMPANY, FSB | R4 | 161,141.4700 | 14.11 | |||||||
C/O IPO ACCOUNTING | ||||||||||
PO BOX 182029 | ||||||||||
COLUMBUS OH 43218-2029 | ||||||||||
GREAT-WEST TRUST CO LLC TRUSTEE | R4 | 82,633.1810 | 11.18 | |||||||
8515 E ORCHARD RD # 2T2 | ||||||||||
GREENWOOD VLG CO 80111-5002 | ||||||||||
VOYA RETIREMENT INS & ANNUITY CO | R6 | 56,909.6150 | 8.33 | |||||||
1 ORANGE WAY B3N | ||||||||||
WINDSOR CT 06095-4773 | ||||||||||
MFS GLOBAL MULTI-ASSET FUND | ||||||||||
MASSACHUSETTS FINANCIAL SERVICES COMPANY | B | 5,834.6670 | 7.79 | |||||||
111 HUNTINGTON AVENUE | I | 1,317,174.6440 | 89.62 | |||||||
BOSTON MA 02199-7632 | R1 | 5,821.3330 | 76.57 | |||||||
R2 | 5,740.4320 | 90.83 | ||||||||
R4 | 5,688.3200 | 100.00 | ||||||||
R6 | 5,687.4810 | 7.88 | ||||||||
MFS HERITAGE TRUST CO TTEE | B | 3,757.0050 | 5.01 | |||||||
ANTHONY LANDRY | ||||||||||
A & A PAINT AND BODY SIMPLE PLAN | ||||||||||
4716 CREIGHTON DR | ||||||||||
NEW IBERIA LA 70560-0255 | ||||||||||
PERSHING LLC | C | 14,687.5530 | 8.80 | |||||||
1 PERSHING PLZ | ||||||||||
JERSEY CITY NJ 07399-0002 | ||||||||||
SCOTT P HILL | C | 9,879.9640 | 5.92 | |||||||
21902 W FIREMIST CT | ||||||||||
CYPRESS TX 77433-3524 | ||||||||||
TAHLEQUAH PUBLIC SCHOOLS 403(B) | R1 | 1,781.1880 | 23.43 | |||||||
717 17TH ST STE 1300 | ||||||||||
DENVER CO 80202-3304 |
Schedule F-25
Name and Address of Shareholder | Class of Shares | Number of Outstanding Shares Beneficially Owned | Percentage of Outstanding Shares of Noted Class Owned | |||||||
MFS GLOBAL MULTI-ASSET FUND – continued | ||||||||||
PIMS/PRUDENTIAL RETPLAN NOMINEE TRUSTEE CUSTODIAN | R3 | 77,721.6110 | 56.92 | |||||||
FARACI LANGE LLP 401K PLAN | ||||||||||
28 E MAIN ST STE 1100 | ||||||||||
ROCHESTER NY 14614-1916 | ||||||||||
PIMS/PRUDENTIAL RETPLAN NOMINEE TRUSTEE CUSTODIAN | R3 | 55,732.3070 | 40.81 | |||||||
GIVENS 401K SAVINGS & | ||||||||||
1720 S MILITARY HWY | ||||||||||
CHESAPEAKE VA 23320-2612 | ||||||||||
MFS GLOBAL NEW DISCOVERY FUND | ||||||||||
PERSHING LLC | A | 34,977.2570 | 5.03 | |||||||
1 PERSHING PLZ | B | 4,825.7240 | 6.08 | |||||||
JERSEY CITY NJ 07399-0002 | C | 39,549.7950 | 12.25 | |||||||
MARK G WORISCHECK & TRACY L WORISCHECK TTEES | C | 18,929.5730 | 5.86 | |||||||
THE WORISCHECK FAMILY REVOCABLE LIVING TRUST | ||||||||||
1841 E ROCKY SLOPE DR | ||||||||||
DAVID A ANTONELLI | I | 30,351.0340 | 8.03 | |||||||
LISA M ANTONELLI JTWROS | ||||||||||
111 HUNTINGTON AVENUE | ||||||||||
BOSTON MA 02199-763 | ||||||||||
MASSACHUSETTS FINANCIAL SERVICES COMPANY | R1 | 3,468.3670 | 78.96 | |||||||
111 HUNTINGTON AVENUE | R2 | 3,399.3360 | 56.61 | |||||||
BOSTON MA 02199-7632 | R3 | 3,367.3300 | 64.29 | |||||||
R4 | 3,337.4660 | 100.00 | ||||||||
CITY OF MONTESANO WA 457 B PLAN | R2 | 652.9970 | 10.87 | |||||||
717 17TH ST STE 1300 | ||||||||||
DENVER CO 80202-3304 | ||||||||||
PAI TRUST COMPANY INC | R2 | 480.3940 | 8.00 | |||||||
NEWFANE DESIGN, INC 401(K) P/S PLA | ||||||||||
1300 ENTERPRISE DR | ||||||||||
DE PERE WI 54115-4934 | ||||||||||
MANGANO LAW OFFICES CO LPA 401K | R3 | 1,153.9690 | 22.03 | |||||||
217576 | ||||||||||
PO BOX 10758 | ||||||||||
FARGO ND 58106-0758 | ||||||||||
SOUTH BEND COMMUNITY SCH CORP 403B | R3 | 342.8330 | 6.55 | |||||||
717 17TH ST STE 1300 | ||||||||||
DENVER CO 80202-3304 | ||||||||||
MFS GLOBAL REAL ESTATE FUND | ||||||||||
PERSHING LLC | A | 177,131.9500 | 17.35 | |||||||
1 PERSHING PLZ | B | 20,676.1200 | 18.28 | |||||||
JERSEY CITY NJ 07399-0002 | C | 63,597.4940 | 22.01 | |||||||
I | 842,294.9130 | 28.55 | ||||||||
R3 | 1,243.4700 | 5.61 | ||||||||
URSULA HIRSCHMANN IRA | B | 6,093.7710 | 5.39 | |||||||
H HIRSCHMANN LTD SIMPLE PLAN | ||||||||||
792 OXBOW RD | ||||||||||
PITTSFORD VT 05763-9835 | ||||||||||
MASSACHUSETTS FINANCIAL SERVICES COMPANY | R1 | 5,192.1080 | 74.15 | |||||||
111 HUNTINGTON AVENUE | R2 | 5,186.7220 | 20.49 | |||||||
BOSTON MA 02199-7632 | R3 | 5,186.7220 | 23.42 | |||||||
R4 | 5,186.7220 | 6.62 |
Schedule F-26
Name and Address of Shareholder | Class of Shares | Number of Outstanding Shares Beneficially Owned | Percentage of Outstanding Shares of Noted Class Owned | |||||||
MFS GLOBAL REAL ESTATE FUND – continued | ||||||||||
LISLE COMMUNITY UNIT SD 202 403(B) | R1 | 1,268.6190 | 18.12 | |||||||
717 17TH ST STE 1300 | ||||||||||
DENVER CO 80202-3304 | ||||||||||
CSL CAPITAL MANAGEMENT LLC 401K P | R2 | 9,136.2340 | 36.09 | |||||||
1251 WATERFRONT PL STE 525 | ||||||||||
PITTSBURGH PA 15222-4228 | ||||||||||
GREGORY GLODEK FBO | R2 | 6,318.8150 | 24.96 | |||||||
TOUCH TONE COMMUNICATIONS INC 401(K | ||||||||||
16 S JEFFERSON RD | ||||||||||
WHIPPANY NJ 07981-1047 | ||||||||||
MASS MUTUAL LIFE INSURANCE CO | R2 | 1,635.2720 | 6.46 | |||||||
1295 STATE ST | ||||||||||
SPRINGFIELD MA 01111-0001 | ||||||||||
GREAT-WEST TRUST CO LLC | R3 | 15,518.0110 | 70.06 | |||||||
TRUSTEE F EMPLOYEE BENEFITS CLIENTS 401K | ||||||||||
8515 E ORCHARD RD # 2T2 | ||||||||||
GREENWOOD VLG CO 80111-5002 | ||||||||||
WILLIAM CARTER CO DCP | R4 | 54,468.0860 | 69.54 | |||||||
PO BOX 52129 | ||||||||||
PHOENIX AZ 85072-2129 | ||||||||||
FIDELITY INVESTMENTS INSTITUTIONAL OPERATIONS CO INC | R4 | 16,361.5710 | 20.8 | |||||||
QUALIFIED EMPLOYEE | ||||||||||
PLANS (401K) FINOPS-IC FUNDS | ||||||||||
100 MAGELLAN WAY # KW1C | 9 | |||||||||
COVINGTON KY | ||||||||||
MFS GLOBAL TOTAL RETURN FUND | ||||||||||
PERSHING LLC | A | 3,347,999.5800 | 6.78 | |||||||
1 PERSHING PLZ | B | 401,665.3780 | 12.42 | |||||||
JERSEY CITY NJ 07399-0002 | C | 1,618,425.8820 | 7.53 | |||||||
MORGAN STANLEY SMITH BARNEY | C | 2,705,342.7380 | 12.58 | |||||||
HARBORSIDE FINANCIAL CENTER | I | 2,312,293.5350 | 7.31 | |||||||
PLAZA 2 3RD FLOOR | ||||||||||
JERSEY CITY NJ 07311 | ||||||||||
MASSMUTUAL | R1 | 63,038.7990 | 35.99 | |||||||
PO BOX 48529 | R2 | 118,052.2740 | 9.05 | |||||||
ATLANTA GA 30362-1529 | ||||||||||
FLORESTONE PRODUCTS CO A CORP | R1 | 49,983.1740 | 28.54 | |||||||
401 K PROFIT SHARING PLAN & TRUST | ||||||||||
1251 WATERFRONT PL STE 525 | ||||||||||
PITTSBURGH PA 15222-4228 | ||||||||||
BOB HIGBY FBO | R1 | 14,685.6990 | 8.39 | |||||||
INDEPENDENT AGRIBUSINESS 401K PSP & TRUST | ||||||||||
7108 N FRESNO ST STE 150 | ||||||||||
FRESNO CA 93720-2960 | ||||||||||
VOYA RETIREMENT INS & ANNUITY CO | R2 | 81,484.6740 | 6.25 | |||||||
1 ORANGE WAY B3N | ||||||||||
WINDSOR CT 06095-4773 | ||||||||||
GREAT-WEST TRUST CO LLC | R3 | 158,704.2110 | 14.75 | |||||||
TRUSTEE F EMPLOYEE BENEFITS CLIENTS 401K | R4 | 113,768.3560 | 36.48 | |||||||
8515 E ORCHARD RD # 2T2 | ||||||||||
GREENWOOD VLG CO 80111-5002 |
Schedule F-27
Name and Address of Shareholder | Class of Shares | Number of Outstanding Shares Beneficially Owned | Percentage of Outstanding Shares of Noted Class Owned | |||||||
MFS GLOBAL TOTAL RETURN FUND – continued | ||||||||||
LINCOLN RETIREMENT SERVICES CO | R3 | 123,609.4070 | 12.40 | |||||||
FBO JEWISH HOME LIFECARE 403B | ||||||||||
PO BOX 7876 | ||||||||||
FORT WAYNE IN 46801-7876 | ||||||||||
WISLER PEARLSTINE, LLP 401(K) PROFIT SHARING PLAN | R3 | 121,998.4240 | 11.59 | |||||||
100 MAGELLAN WAY | ||||||||||
COVINGTON KY 41015-1999 | ||||||||||
RELIANCE TRUST CO TRUSTEE E ERN | R3 | 92,902.3830 | 8.64 | |||||||
RE SEARCH GROUP INC CASH& DEFERRED PS PLAN UA 01/01/84 | ||||||||||
110 HARTWELL AVE | ||||||||||
LEXINGTON MA 02421-3118 | ||||||||||
ASCENSUS TRUST COMPANY FBO | R3 | 61,014.0520 | 5.67 | |||||||
MANAGEMENT EMPLOYMENT LLC 401K SA | ||||||||||
PO BOX 10758 | ||||||||||
FARGO ND 58106-0758 | ||||||||||
PIMS/PRUDENTIAL RETIREMENT | R3 | 64,298.8870 | 5.98 | |||||||
AS NOMINEE FOR THE TTEE/CUST PL 763 | ||||||||||
CUMMINS NORTHEAST EMPLOYEE | ||||||||||
30 BRAINTREE HILL OFFICE PARK SUITE 101 | ||||||||||
BRAINTREE MA 02184-8751 | ||||||||||
MFS GOVERNMENT SECURITIES FUND | ||||||||||
PERSHING LLC | A | 5,792,755.5110 | 8.05 | |||||||
1 PERSHING PLZ | B | 229,153.9730 | 11.21 | |||||||
JERSEY CITY NJ 07399-0002 | C | 541,577.5790 | 11.49 | |||||||
MASS MUTUAL LIFE INSURANCE CO | R1 | 60,304.9560 | 17.15 | |||||||
ATTN RS FUND OPERATIONS | R2 | 711,185.1860 | 6.07 | |||||||
1295 STATE ST | R3 | 1,678,615.2880 | 16.72 | |||||||
SPRINGFIELD MA 01111-0001 | ||||||||||
HARTFORD LIFE INS CO | R2 | 8,711,916.1810 | 74.40 | |||||||
ATTN UIT OPERATIONS | R3 | 4,877,512.9490 | 48.59 | |||||||
PO BOX 2999 | ||||||||||
HARTFORD CT 06104-2999 | ||||||||||
TAYNIK & CO | R3 | 566,309.1840 | 5.64 | |||||||
CO STATE STREET BANK & TRUST | ||||||||||
1200 CROWN COLONY DR | ||||||||||
QUINCY MA 02169-0938 | ||||||||||
STATE STREET BANK TRUST CO | R4 | 605,227.3160 | 9.08 | |||||||
TRUSTEE VARIOUS RETIREMENT PLANS | ||||||||||
4 MANHATTANVILLE RD | ||||||||||
PURCHASE NY 10577-2139 | ||||||||||
FIDELITY INVESTMENTS INSTITUTIONAL OPERATIONS CO INC | R4 | 464,574.1180 | 6.97 | |||||||
QUALIFIED EMPLOYEE PLANS 401K FINOPS-IC FUNDS | ||||||||||
100 MAGELLAN WAY # KW1C | ||||||||||
COVINGTON KY 41015-1987 | ||||||||||
MFS MODERATE ALLOCATION FUND | R6 | 59,213,931.6770 | 57.02 | |||||||
ATTN: LCC 3RD FL MFS GRP | ||||||||||
2 AVENUE DE LAFAYETTE | ||||||||||
BOSTON MA 02111-1750 |
Schedule F-28
Name and Address of Shareholder | Class of Shares | Number of Outstanding Shares Beneficially Owned | Percentage of Outstanding Shares of Noted Class Owned | |||||||
MFS GOVERNMENT SECURITIES FUND – continued | ||||||||||
MFS CONSERVATIVE ALLOC FUND | R6 | 29,944,147.8190 | 28.83 | |||||||
ATTN: LCC 3RD FL MFS GRP | ||||||||||
2 AVENUE DE LAFAYETTE | ||||||||||
BOSTON MA 02111-1750 | ||||||||||
MFS LIFETIME INCOME FUND | R6 | 6,287,396.3550 | 6.05 | |||||||
ATTN: LCC 3RD FL MFS GRP | ||||||||||
2 AVENUE DE LAFAYETTE | ||||||||||
BOSTON MA 02111-1750 | ||||||||||
MFS GROWTH ALLOCATION FUND | ||||||||||
PERSHING LLC | A | 10,977,184.8130 | 7.37 | |||||||
1 PERSHING PLZ | B | 1,548,386.7300 | 11.72 | |||||||
JERSEY CITY NJ 07399-0002 | C | 4,422,040.6330 | 8.32 | |||||||
MORGAN STANLEY SMITH BARNEY | I | 802,517.6890 | 13.68 | |||||||
HARBORSIDE FINANCIAL CENTER | ||||||||||
PLAZA 2 3RD FLOOR | ||||||||||
JERSEY CITY NJ 07311 | ||||||||||
VOYA RETIREMENT INS & ANNUITY CO | R2 | 1,794,303.9730 | 17.51 | |||||||
1 ORANGE WAY B3N | R3 | 627,380.8220 | 5.02 | |||||||
WINDSOR CT 06095-4773 | ||||||||||
MASSMUTUAL | R3 | 5,347,581.4000 | 42.79 | |||||||
PO BOX 48529 | ||||||||||
ATLANTA GA 30362-1529 | ||||||||||
GREAT-WEST TRUST COMPANY LLC TTEE F | R3 | 746,315.3460 | 5.97 | |||||||
EMPLOYEE BENEFITS CLIENTS 401K | R4 | 1,305,382.6680 | 11.42 | |||||||
8515 E ORCHARD RD 2T2 | ||||||||||
GREENWOOD VLG CO 80111-5002 | ||||||||||
TAYNIK & CO | R3 | 868,056.5990 | 6.95 | |||||||
CO STATE STREET BANK & TRUST | ||||||||||
1200 CROWN COLONY DR | ||||||||||
QUINCY MA 02169-0938 | ||||||||||
FIDELITY INVESTMENTS INSTITUTIONAL OPERATIONS CO INC | R4 | 1,363,141.3830 | 11.93 | |||||||
QUALIFIED EMPLOYEE PLANS 401K FINOPS-IC FUNDS | ||||||||||
100 MAGELLAN WAY # KW1C | ||||||||||
COVINGTON KY 41015-1987 | ||||||||||
STATE STREET BANK TRUST CO | R4 | 1,080,053.2400 | 9.45 | |||||||
TRUSTEE VARIOUS RETIREMENT PLANS | ||||||||||
440 MAMARONECK AVE | ||||||||||
HARRISON NY 10528-2418 | ||||||||||
MFS GROWTH FUND | ||||||||||
PERSHING LLC | A | 3,175,951.2860 | 5.31 | |||||||
1 PERSHING PLZ | B | 159,591.4510 | 7.49 | |||||||
JERSEY CITY NJ 07399-0002 | C | 744,313.4220 | 7.63 | |||||||
MORGAN STANLEY SMITH BARNEY | C | 777,780.9580 | 7.97 | |||||||
HARBORSIDE FINANCIAL CENTER | ||||||||||
PLAZA 2 3RD FLOOR | ||||||||||
JERSEY CITY NJ 07311 | ||||||||||
HARTFORD LIFE INS CO | R2 | 680,573.7320 | �� | 27.33 | ||||||
ATTN UIT OPERATIONS | ||||||||||
PO BOX 2999 | ||||||||||
HARTFORD CT 06104-2999 |
Schedule F-29
Name and Address of Shareholder | Class of Shares | Number of Outstanding Shares Beneficially Owned | Percentage of Outstanding Shares of Noted Class Owned | |||||||
MFS GROWTH FUND – continued | ||||||||||
STATE STREET BANK TRUST CO | R3 | 576,084.9880 | 7.82 | |||||||
TTEE VARIOUS RETIREMENT PLANS | R4 | 653,645.8830 | 7.07 | |||||||
440 MAMARONECK AVE | ||||||||||
HARRISON NY 10528-2418 | ||||||||||
GREAT-WEST TRUST CO LLC | ||||||||||
FBO RECORDKEEPING FOR VARIOUS | ||||||||||
BENEFIT PL OMNIPUTNAM | ||||||||||
C/O MUTUAL FUND TRADING | ||||||||||
8525 E ORCHARD RD | R3 | 451,094.0020 | 10.94 | |||||||
GREENWOOD VLG CO 80111-5002 | ||||||||||
FIDELITY INVESTMENTS INSTITUTIONAL OPERATIONS CO INC | R4 | 1,182,908.9620 | 12.80 | |||||||
QUALIFIED EMPLOYEE PLANS 401K FINOPS-IC FUNDS | ||||||||||
100 MAGELLAN WAY # KW1C | ||||||||||
COVINGTON KY 41015-1987 | ||||||||||
GREAT-WEST TRUST COMPANY LLC TTEE F | R4 | 515,742.1030 | 5.58 | |||||||
EMPLOYEE BENEFITS CLIENTS 401K | ||||||||||
8515 E ORCHARD RD 2T2 | ||||||||||
GREENWOOD VLG CO 80111-5002 | ||||||||||
NATIONWIDE TRUST CO FSB | R4 | 1,578,307.7600 | 17.08 | |||||||
FBO PARTICIPATING RETIREMENT PLANS NTC-PLNS | ||||||||||
C/O IPO PORTFOLIO ACCOUNTING | ||||||||||
PO BOX 182029 | ||||||||||
COLUMBUS OH 43218-2029 | ||||||||||
MFS GROWTH ALLOCATION FUND | R6 | 7,229,314.4380 | 22.51 | |||||||
ATTN LCC 3RD FLOOR MFS GROUP | ||||||||||
2 AVENUE DE LAFAYETTE | ||||||||||
BOSTON MA 02111-1750 | ||||||||||
MFS MODERATE ALLOCATION FUND | R6 | 6,259,146.0950 | 19.49 | |||||||
ATTN LCC 3RD FLOOR MFS GROUP | ||||||||||
2 AVENUE DE LAFAYETTE | ||||||||||
BOSTON MA 02111-1750 | ||||||||||
MFS AGGRESSIVE GROWTH ALLOCATION FUND | R6 | 2,743,987.2410 | 8.54 | |||||||
ATTN LCC 3RD FLOOR MFS GROUP | ||||||||||
2 AVENUE DE LAFAYETTE | ||||||||||
BOSTON MA 02111-1750 | ||||||||||
MFS CONSERVATIVE ALLOC FUND | R6 | 2,354,361.5590 | 7.33 | |||||||
ATTN LCC 3RD FL MFS GRP | ||||||||||
2 AVENUE DE LAFAYETTE | ||||||||||
BOSTON MA 02111-1750 | ||||||||||
MFS HIGH INCOME FUND | ||||||||||
ANTHONY NGUYEN | 529B | 18,703.9990 | 18.38 | |||||||
239 BARCLAY CIR | ||||||||||
CHELTENHAM PA 19012-1031 | ||||||||||
TAMARA J BYBEE | 529B | 13,083.4440 | 12.86 | |||||||
3152 SHAY WAY | ||||||||||
NYSSA OR 97913-5051 | ||||||||||
DAVID J SORIANO | 529B | 5,916.6620 | 5.82 | |||||||
PO BOX 695 | ||||||||||
WELCHES OR 97067-0695 |
Schedule F-30
Name and Address of Shareholder | Class of Shares | Number of Outstanding Shares Beneficially Owned | Percentage of Outstanding Shares of Noted Class Owned | |||||||
MFS HIGH INCOME FUND – continued | ||||||||||
MARY B LINDSTROM | 529B | 5,833.1930 | 5.73 | |||||||
6122 ROCKY MOUNTAIN DR SW | ||||||||||
OLYMPIA WA 98512-2822 | ||||||||||
KAREN A HILLEN | 529C | 23,409.2560 | 17.83 | |||||||
16130 48TH AVE N | ||||||||||
PLYMOUTH MN 55446-2052 | ||||||||||
MICHAEL YU-MEIN LEE | 529C | 67,208.7720 | 17.06 | |||||||
2398 S 2ND AVE | ||||||||||
ARCADIA CA 91006-5203 | ||||||||||
PERSHING LLC | A | 7,069,651.6490 | 5.01 | |||||||
1 PERSHING PLZ | B | 466,534.6170 | 7.36 | |||||||
JERSEY CITY NJ 07399-0002 | C | 2,181,422.0840 | 11.42 | |||||||
MORGAN STANLEY SMITH BARNEY | B | 555,043.8140 | 8.76 | |||||||
HARBORSIDE FINANCIAL CENTER | C | 1,360,849.4690 | 7.12 | |||||||
PLAZA 2 3RD FLOOR | ||||||||||
JERSEY CITY NJ 07311 | ||||||||||
SPANISH HILLS MEDICAL GROUP IN 401K PSP & TRUST | R1 | 26,888.4510 | 7.97 | |||||||
1251 WATERFRONT PL STE 525 | ||||||||||
PITTSBURGH PA 15222-4228 | ||||||||||
ANDREW JAMES FBO | R1 | 37,282.0210 | 11.06 | |||||||
ABJ MANAGEMENT, INC. 401K PLAN | ||||||||||
855 ROUTE 146 | ||||||||||
CLIFTON PARK NY 12065-3885 | ||||||||||
MORRIS ASSOCIATES INC PROFIT SHARING 401(K) TRUST | R4 | 61,428.6570 | 53.33 | |||||||
100 MAGELLAN WAY | ||||||||||
COVINGTON KY 41015-1999 | ||||||||||
MASSACHUSETTS FINANCIAL SERVICES CO | R4 | 16,045.7100 | 13.93 | |||||||
111 HUNTINGTON AVENUE | ||||||||||
BOSTON MA 02199-7632 | ||||||||||
LENTZ & GENGARO 401(K) PLAN | R4 | 11,427.3960 | 9.92 | |||||||
PO BOX 5508 | ||||||||||
DENVER CO 80217-5508 | ||||||||||
VIVOLI SACCUZZO LLP 401K PSP & TRUST | R4 | 8,556.0200 | 7.43 | |||||||
1251 WATERFRONT PL STE 525 | ||||||||||
PITTSBURGH PA 15222-4228 | ||||||||||
MFS MODERATE ALLOCATION FUND | R6 | 88,369,803.4000 | 37.50 | |||||||
ATTN: LCC 3RD FL MFS GRP | ||||||||||
2 AVENUE DE LAFAYETTE | ||||||||||
BOSTON MA 02111-1750 | ||||||||||
MFS GROWTH ALLOCATION FUND | R6 | 73,823,663.3860 | 31.32 | |||||||
ATTN: LCC 3RD FL MFS GRP | ||||||||||
2 AVENUE DE LAFAYETTE | ||||||||||
BOSTON MA 02111-1750 | ||||||||||
MFS CONSERVATIVE ALLOCATION FUND | R6 | 44,464,249.8060 | 18.87 | |||||||
ATTN: LCC 3RD FL MFS GRP | ||||||||||
2 AVENUE DE LAFAYETTE | ||||||||||
BOSTON MA 02111-1750 |
Schedule F-31
Name and Address of Shareholder | Class of Shares | Number of Outstanding Shares Beneficially Owned | Percentage of Outstanding Shares of Noted Class Owned | |||||||
MFS HIGH YIELD POOLED PORTFOLIO | ||||||||||
MFS DIVERSIFIED INCOME FUND | N/A** | 110,723,592.5480 | 70.94 | |||||||
ATTN BRIAN WONSON | ||||||||||
70 FARGO ST FL 3 | ||||||||||
BOSTON MA 02210-2126 | ||||||||||
MFS GLOBAL HIGH YIELD FUND | N/A** | 30,611,782.2960 | 19.61 | |||||||
ATTN BRIAN WONSON | ||||||||||
70 FARGO ST FL 3 | ||||||||||
BOSTON MA 02210-2126 | ||||||||||
MFS STRATEGIC INCOME FUND | N/A** | 12,701,317.1840 | 8.14 | |||||||
ATTN: BRIAN WONSON | ||||||||||
70 FARGO ST FL 3 | ||||||||||
BOSTON MA 02210-2126 | ||||||||||
MFS INFLATION ADJUSTED BOND FUND | ||||||||||
PERSHING LLC | A | 589,354.5730 | 12.84 | |||||||
1 PERSHING PLZ | B | 218,955.2960 | 21.86 | |||||||
JERSEY CITY NJ 07399-0002 | C | 226,745.9970 | 19.96 | |||||||
I | 914,729.8660 | 59.69 | ||||||||
MORGAN STANLEY SMITH BARNEY | B | 53,545.9200 | 5.35 | |||||||
HARBORSIDE FINANCIAL CENTER PLAZA | C | 64,019.6820 | 5.64 | |||||||
JERSEY CITY NJ 07311 | ||||||||||
MASSMUTUAL | R1 | 9,503.9500 | 31.12 | |||||||
PO BOX 48529 | R2 | 30,683.7240 | 21.26 | |||||||
ATLANTA GA 30362-1529 | R3 | 38,636.1260 | 18.69 | |||||||
INLINE AUTOMATION GROUP INC 401K PSP & TRUST | R1 | 6,447.3040 | 21.11 | |||||||
1251 WATERFRONT PL STE 525 | ||||||||||
PITTSBURGH PA 15222-4228 | ||||||||||
MASSACHUSETTS FINANCIAL SERVICES COMPANY | R1 | 4,906.3060 | 16.06 | |||||||
111 HUNTINGTON AVENUE | R4 | 4,936.0830 | 7.47 | |||||||
BOSTON MA 02199-7632 | ||||||||||
ZAREMBA BROWNELL & BROWN PLL 401K PSP & TRUST | R1 | 3,040.6170 | 9.96 | |||||||
1251 WATERFRONT PL STE 525 | ||||||||||
PITTSBURGH PA 15222-4228 | ||||||||||
ALERUS FINANCIAL FBO | R1 | 2,342.9690 | 7.67 | |||||||
RAYTOWN WATER COMPANY RETPLAN | ||||||||||
PO BOX 64535 | ||||||||||
SAINT PAUL MN 55164-0535 | ||||||||||
TAYNIK & CO | R2 | 37,011.3380 | 25.65 | |||||||
CO STATE STREET BANK & TRUST | ||||||||||
1200 CROWN COLONY DR | ||||||||||
QUINCY MA 02169-0938 | ||||||||||
CONSULTING & FIELD SERVICES 401K PSP & TRUST | R2 | 7,419.1880 | 5.14 | |||||||
1251 WATERFRONT PL STE 525 | ||||||||||
PITTSBURGH PA 15222-4228 | ||||||||||
PATTERSON & CO FBO | R2 | 15,272.9540 | 10.58 | |||||||
NH BRAGG AND SONS | ||||||||||
1525 W WT HARRIS BLVD | ||||||||||
CHARLOTTE NC 28262-8522 | ||||||||||
PATTERSON & CO FBO | R3 | 22,374.8810 | 10.82 | |||||||
BANK OF N H | ||||||||||
1525 WEST WT HARRIS BLVD | ||||||||||
CHARLOTTE NC 28288-1151 |
Schedule F-32
Name and Address of Shareholder | Class of Shares | Number of Outstanding Shares Beneficially Owned | Percentage of Outstanding Shares of Noted Class Owned | |||||||
MFS INFLATION ADJUSTED BOND FUND – continued | ||||||||||
LIVING WATER RESOURCES INC 401K PSP & TRUST | R4 | 5,617.7840 | 8.50 | |||||||
1251 WATERFRONT PL STE 525 | ||||||||||
PITTSBURGH PA 15222-4228 | ||||||||||
MFS MODERATE ALLOCATION FUND | R6 | 39,390,143.3620 | 36.68 | |||||||
2 AVENUE DE LAFAYETTE | ||||||||||
BOSTON MA 02111-1750 | ||||||||||
MFS CONSERVATIVE ALLOCATION FUND | R6 | 28,452,062.8190 | 26.49 | |||||||
ATTN: LCC 3RD FL MFS GRP | ||||||||||
2 AVENUE DE LAFAYETTE | ||||||||||
BOSTON MA 02111-1750 | ||||||||||
MFS GROWTH ALLOCATION FUND | R6 | 23,436,647.3610 | 21.82 | |||||||
ATTN: LCC 3RD FL MFS GRP | ||||||||||
2 AVENUE DE LAFAYETTE | ||||||||||
BOSTON MA 02111-1750 | ||||||||||
MFS LIFETIME INCOME FUND | R6 | 5,970,884.9890 | 5.56 | |||||||
ATTN: LCC 3RD FL MFS GRP | ||||||||||
2 AVENUE DE LAFAYETTE | ||||||||||
BOSTON MA 02111-1750 | ||||||||||
MFS INSTITUTIONAL INTERNATIONAL EQUITY FUND*** | N/A | N/A | N/A | |||||||
MFS INTERNATIONAL DIVERSIFICATION FUND | ||||||||||
PERSHING LLC | B | 196,872.1740 | 9.40 | |||||||
1 PERSHING PLZ | C | 2,037,382.5040 | 7.06 | |||||||
JERSEY CITY NJ 07399-0002 | I | 5,700,845.1140 | 5.22 | |||||||
MORGAN STANLEY SMITH BARNEY | C | 3,646,513.5880 | 12.63 | |||||||
HARBORSIDE FINANCIAL CENTER | I | 7,078,692.0250 | 6.48 | |||||||
JERSEY CITY NJ 07311 | ||||||||||
KONRAD BEER DISTRIBUTOR INC PSP | R1 | 44,598.4170 | 9.93 | |||||||
1251 WATERFRONT PL STE 525 | ||||||||||
PITTSBURGH PA 15222-4228 | ||||||||||
STATE STREET BANK TRUST CO TTEE | R3 | 880,433.1010 | 10.03 | |||||||
VARIOUS RETIREMENT PLANS | ||||||||||
440 MAMARONECK AVE | ||||||||||
HARRISON NY 10528-2418 | ||||||||||
STANDARD INSURANCE COMPANY | R4 | 4,722,292.8560 | 12.54 | |||||||
1100 SW 6TH AVE | ||||||||||
PORTLAND OR 97204-1093 | ||||||||||
FIDELITY INVESTMENTS INSTITUTIONAL OPERATIONS CO INC | R4 | 10,719,794.1430 | 32.07 | |||||||
QUALIFIED EMPLOYEE PLANS 401K FINOPS-IC FUNDS | ||||||||||
100 MAGELLAN WAY # KW1C | ||||||||||
COVINGTON KY 41015-1987 | ||||||||||
MFS INTERNATIONAL GROWTH FUND | ||||||||||
PERSHING LLC | B | 18,238.3270 | 5.75 | |||||||
1 PERSHING PLZ | C | 106,969.2810 | 7.00 | |||||||
JERSEY CITY NJ 07399-0002 | I | 3,194,596.5730 | 8.16 | |||||||
MORGAN STANLEY SMITH BARNEY | C | 163,770.3660 | 10.72 | |||||||
HARBORSIDE FINANCIAL CENTER | ||||||||||
JERSEY CITY NJ 07311 |
Schedule F-33
Name and Address of Shareholder | Class of Shares | Number of Outstanding Shares Beneficially Owned | Percentage of Outstanding Shares of Noted Class Owned | |||||||
MFS INTERNATIONAL GROWTH FUND – continued | ||||||||||
PIMS/PRUDENTIAL RETPLAN NOMINEE TRUSTEE CUSTODIAN | R1 | 11,078.8580 | 12.14 | |||||||
800 VOLK ENTERPRISES INC /SAFETY | ||||||||||
618 S KILROY RD | ||||||||||
TURLOCK CA 95380-9531 | ||||||||||
HARTFORD LIFE INS CO | R2 | 373,249.6890 | 48.95 | |||||||
ATTN UIT OPERATIONS | R3 | 152,332.9910 | 16.13 | |||||||
PO BOX 2999 | ||||||||||
HARTFORD CT 06104-2999 | ||||||||||
VOYA RETIREMENT INS & ANNUITY CO | R2 | 46,247.9980 | 6.06 | |||||||
1 ORANGE WAY B3N | ||||||||||
WINDSOR CT 06095-4773 | ||||||||||
LINCOLN RETIREMENT SERVICES COMPANY | R3 | 104,841.7460 | 12.22 | |||||||
FBO SYLVANIA FRANCISCAN HEALTH 403B | ||||||||||
PO BOX 7876 | ||||||||||
FORT WAYNE IN 46801-7876 | ||||||||||
GREAT-WEST TRUST COMPANY LLC TTEE F | R3 | 109,226.0890 | 11.62 | |||||||
EMPLOYEE BENEFITS CLIENTS 401K | R4 | 493,632.0140 | 11.43 | |||||||
8515 E ORCHARD RD 2T2 | ||||||||||
GREENWOOD VLG CO 80111-5002 | ||||||||||
UNITED OF OMAHA FOR VARIOUS RET PLAN | R4 | 2,834,317.8960 | 65.63 | |||||||
700 17TH ST STE 300 | ||||||||||
DENVER CO 80202-3531 | ||||||||||
MFS INT’ERNATIONAL DIVERSIFICATION FUND | R6 | 50,785,045.1630 | 64.54 | |||||||
ATTN: LCC 3RD FL MFS GRP | ||||||||||
2 AVENUE DE LAFAYETTE | ||||||||||
BOSTON MA 02111-1750 | ||||||||||
MFS GROWTH ALLOCATION FUND | R6 | 9,281,074.3660 | 11.80 | |||||||
ATTN: LCC 3RD FL MFS GRP | ||||||||||
2 AVENUE DE LAFAYETTE | ||||||||||
BOSTON MA 02111-1750 | ||||||||||
MFS MODERATE ALLOCATION FUND | R6 | 6,624,683.1500 | 8.42 | |||||||
ATTN: LCC 3RD FL MFS GRP | ||||||||||
2 AVENUE DE LAFAYETTE | ||||||||||
BOSTON MA 02111-1750 | ||||||||||
MFS AGGRESSIVE GROWTH ALLOCATION FUND | R6 | 4,765,613.4650 | 6.06 | |||||||
ATTN: LCC 3RD FL MFS GRP | ||||||||||
2 AVENUE DE LAFAYETTE | ||||||||||
BOSTON MA 02111-1750 | ||||||||||
MFS INTERNATIONAL NEW DISCOVERY FUND | ||||||||||
SUSAN E KERNDT | 529B | 347.2410 | 9.13 | |||||||
13135 EMMER PL | ||||||||||
APPLE VALLEY MN 55124-4230 | ||||||||||
XIAOQING LI | 529B | 791.1170 | 6.94 | |||||||
20420 SW LEONARDO LN | ||||||||||
BEAVERTON OR 97007-7870 | ||||||||||
SANFORD E ROBINSON | 529B | 581.5400 | 6.13 | |||||||
2080 SE IVON ST | ||||||||||
PORTLAND OR 97202-1182 |
Schedule F-34
Name and Address of Shareholder | Class of Shares | Number of Outstanding Shares Beneficially Owned | Percentage of Outstanding Shares of Noted Class Owned | |||||||
MFS INTERNATIONAL NEW DISCOVERY FUND – continued | ||||||||||
MACKENZIE K HARDER | 529B | 351.4660 | 6.07 | |||||||
6880 LEIBINGER LN | ||||||||||
GRANITE BAY CA 95746-9364 | ||||||||||
VANESSA A WILKINS | 529C | 3,844.8490 | 10.19 | |||||||
69620 OLD BARN CT | ||||||||||
SISTERS OR 97759-9644 | ||||||||||
PHILIP R TOMBAUGH | 529C | 1,465.2980 | 6.96 | |||||||
180 WESTWOOD RD | ||||||||||
NEW HAVEN CT 06515-2243 | ||||||||||
SUZANNE SASSI | 529C | 2,539.0970 | 6.83 | |||||||
30 ESTRELLA AVE | ||||||||||
PIEDMONT CA 94611-3920 | ||||||||||
TODD J STOLPMAN | 529C | 1,617.9020 | 6.78 | |||||||
4660 PINETREE CURV | ||||||||||
EAGAN MN 55122-3700 | ||||||||||
PERSHING LLC | A | 3,165,948.2900 | 7.13 | |||||||
1 PERSHING PLZ | B | 41,309.5760 | 7.13 | |||||||
JERSEY CITY NJ 07399-0002 | C | 417,144.1840 | 7.19 | |||||||
I | 9,936,666.0310 | 17.38 | ||||||||
MORGAN STANLEY SMITH BARNEY | C | 425,901.7580 | 7.34 | |||||||
HARBORSIDE FINANCIAL CENTER PLAZA | ||||||||||
JERSEY CITY NJ 07311 | ||||||||||
VOYA RETIREMENT INS & ANNUITY CO | R2 | 309,796.3580 | 16.85 | |||||||
1 ORANGE WAY B3N | ||||||||||
WINDSOR CT 06095-4773 | ||||||||||
ADP ACCESS PRODUCT | R2 | 185,359.5950 | 10.08 | |||||||
1 LINCOLN ST | ||||||||||
BOSTON MA 02111-2900 | ||||||||||
AMERICAN UNITED LIFE GROUP RETIREMENT ANNUITY | R2 | 95,352.3410 | 6.02 | |||||||
ATTN: SEPARATE ACOUNTS | ||||||||||
PO BOX 368 | ||||||||||
INDIANAPOLIS IN 46206-0368 | ||||||||||
AMERITAS LIFE INSURANCE CORP | R3 | 1,001,651.6900 | 18.76 | |||||||
5900 O ST | ||||||||||
LINCOLN NE 68510-2234 | ||||||||||
JOHN HANCOCK TRUST COMPANY LLC | R3 | 773,854.0570 | 14.50 | |||||||
690 CANTON ST STE 100 | R4 | 1,129,549.4940 | 10.68 | |||||||
WESTWOOD MA 02090-2324 | ||||||||||
CHARLES SCHWAB & CO INC | R4 | 2,004,405.9310 | 18.95 | |||||||
SPECIAL CUSTODY ACCOUNT | ||||||||||
ATTN: MUTUAL FUNDS | ||||||||||
101 MONTGOMERY ST | ||||||||||
SAN FRANCISCO CA 94104-4151 | ||||||||||
FIDELITY INVESTMENTS INSTITUTIONAL OPERATIONS CO INC | R4 | 887,013.2440 | 8.39 | |||||||
QUALIFIED EMPLOYEE PLANS 401K FINOPS-IC FUNDS | ||||||||||
100 MAGELLAN WAY # KW1C | ||||||||||
COVINGTON KY 41015-1987 |
Schedule F-35
Name and Address of Shareholder | Class of Shares | Number of Outstanding Shares Beneficially Owned | Percentage of Outstanding Shares of Noted Class Owned | |||||||
MFS INTERNATIONAL NEW DISCOVERY FUND – continued | ||||||||||
MFS INTERNATIONAL DIVERSIFICATION FUND | R6 | 18,613,564.1190 | 52.27 | |||||||
ATTN: LCC 3RD FL MFS GROUP | ||||||||||
2 AVENUE DE LAFAYETTE | ||||||||||
BOSTON MA 02111-1750 | ||||||||||
MFS GROWTH ALLOCATION FUND | R6 | 3,420,402.0310 | 9.60 | |||||||
ATTN: LCC 3RD FL MFS GRP | ||||||||||
2 AVENUE DE LAFAYETTE | ||||||||||
BOSTON MA 02111-1750 | ||||||||||
MFS AGGRESSIVE GROWTH ALLOCATION | R6 | 2,188,033.2530 | 6.14 | |||||||
2 AVENUE DE LAFAYETTE | ||||||||||
BOSTON MA 02111-1750 | ||||||||||
MFS MODERATE ALLOCATION FUND | R6 | 2,045,815.6260 | 5.74 | |||||||
ATTN: LCC 3RD FL MFS GRP | ||||||||||
2 AVENUE DE LAFAYETTE | ||||||||||
BOSTON MA 02111-1750 | ||||||||||
FIDELITY INVESTMENTS INSTITUTIONAL OPERATIONS CO INC | R6 | 1,814,420.5840 | 6.03 | |||||||
QUALIFIED EMPLOYEE PLANS 401K FINOPS-IC FUNDS | ||||||||||
100 MAGELLAN WAY # KW1C | ||||||||||
COVINGTON KY 41015-1987 | ||||||||||
MFS INTERNATIONAL VALUE FUND | ||||||||||
PERSHING LLC | B | 151,744.1210 | 10.07 | |||||||
1 PERSHING PLZ | C | 1,756,161.9200 | 7.84 | |||||||
JERSEY CITY NJ 07399-0002 | I | 25,283,971.3280 | 8.04 | |||||||
MORGAN STANLEY SMITH BARNEY | I | 27,992,389.1460 | 8.90 | |||||||
HARBORSIDE FINANCIAL CENTER PLAZA 2 3RD FLOOR | ||||||||||
JERSEY CITY NJ 07311 | ||||||||||
TAYNIK & CO | R1 | 33,838.1370 | 9.08 | |||||||
CO STATE STREET BANK & TRUST | ||||||||||
1200 CROWN COLONY DR | ||||||||||
QUINCY MA 02169-0938 | ||||||||||
MASS MUTUAL LIFE INSURANCE CO | R1 | 24,200.7680 | 6.49 | |||||||
1295 STATE ST | ||||||||||
SPRINGFIELD MA 01111-0001 | ||||||||||
HARTFORD LIFE INS CO | R2 | 1,749,570.9990 | 15.61 | |||||||
PO BOX 2999 | ||||||||||
HARTFORD CT 06104-2999 | ||||||||||
VOYA RETIREMENT INS & ANNUITY CO | R2 | 1,747,626.2560 | 15.59 | |||||||
1 ORANGE WAY B3N | ||||||||||
WINDSOR CT 06095-4773 | ||||||||||
ADP ACCESS PRODUCT | R2 | 1,034,307.8320 | 9.23 | |||||||
1 LINCOLN ST | ||||||||||
BOSTON MA 02111-2900 | ||||||||||
GREAT-WEST TRUST COMPANY LLC TTEE F | R2 | 596,823.4600 | 5.81 | |||||||
EMPLOYEE BENEFITS CLIENTS 401K | ||||||||||
8515 E ORCHARD RD 2T2 | ||||||||||
GREENWOOD VLG CO 80111-5002 | ||||||||||
TRANSAMERICA LIFE INS COMPANY | R3 | 2,148,273.5730 | 6.26 | |||||||
1150 S OLIVE ST | ||||||||||
LOS ANGELES CA 90015-2211 |
Schedule F-36
Name and Address of Shareholder | Class of Shares | Number of Outstanding Shares Beneficially Owned | Percentage of Outstanding Shares of Noted Class Owned | |||||||
MFS INTERNATIONAL VALUE FUND – continued | ||||||||||
CHARLES SCHWAB & CO INC | R3 | 2,889,702.1340 | 8.42 | |||||||
SPECIAL CUSTODY ACCOUNT | R4 | 3,067,873.3850 | 10.06 | |||||||
101 MONTGOMERY ST | ||||||||||
SAN FRANCISCO CA 94104-4151 | ||||||||||
HARTFORD LIFE INS CO | R3 | 2,129,587.6060 | 6.20 | |||||||
PO BOX 2999 | ||||||||||
HARTFORD CT 06104-2999 | ||||||||||
STATE STREET BANK TRUST CO | R4 | 1,666,518.7330 | 5.46 | |||||||
TTEE VARIOUS RETIREMENT PLANS | ||||||||||
440 MAMARONECK AVE | ||||||||||
HARRISON NY 10528-2418 | ||||||||||
FIDELITY INVESTMENTS INSTITUTIONAL OPERATIONS CO INC | R4 | 4,351,793.8830 | 14.27 | |||||||
QUALIFIED EMPLOYEE | ||||||||||
PLANS 401K FINOPS-IC FUNDS | ||||||||||
100 MAGELLAN WAY # KW1C | ||||||||||
COVINGTON KY 41015-1987 | ||||||||||
MFS INT’L DIVERSIFICATION FUND | R6 | 37,472,150.1100 | 37.23 | |||||||
ATTN: LCC 3RD FL MFS GRP | ||||||||||
2 AVENUE DE LAFAYETTE | ||||||||||
BOSTON MA 02111-1750 | ||||||||||
MFS GROWTH ALLOCATION FUND | R6 | 6,895,905.9390 | 6.85 | |||||||
ATTN: LCC 3RD FL MFS GRP | ||||||||||
2 AVENUE DE LAFAYETTE | ||||||||||
BOSTON MA 02111-1750 | ||||||||||
MFS LIFETIME 2020 FUND | ||||||||||
PERSHING LLC | A | 293,508.2240 | 8.00 | |||||||
1 PERSHING PLZ | B | 57,021.4940 | 12.75 | |||||||
JERSEY CITY NJ 07399-0002 | C | 110,581.3700 | 8.36 | |||||||
MASSMUTAL | R1 | 193,268.4980 | 67.54 | |||||||
PO BOX 48529 | ||||||||||
ATLANTA GA 30362-1529 | ||||||||||
ASCENSUS TRUST CO FBO | R1 | 20,313.6950 | 7.10 | |||||||
SOLCON 401(K) PLAN 687284 | ||||||||||
PO BOX 10758 | ||||||||||
FARGO ND 58106-0758 | ||||||||||
MATTHEW ROWLAND FBO | R1 | 14,609.5750 | 5.11 | |||||||
TRINITY CHURCH DALLAS 401K PSP & TRUST | ||||||||||
4300 COLE AVE | ||||||||||
DALLAS TX 75205-4440 | ||||||||||
JOHN HANCOCK TRUST COMPANY LLC | R2 | 1,602,970.2040 | 29.12 | |||||||
690 CANTON ST STE 100 | ||||||||||
WESTWOOD MA 02090-2324 | ||||||||||
MAINES PAPER & FOOD SERVICE INC. 40 | R3 | 600,476.7840 | 10.59 | |||||||
1(K) SAVINGS AND PROFIT SHARING PLN | ||||||||||
100 MAGELLAN WAY | ||||||||||
COVINGTON KY 41015-1999 | ||||||||||
FIDELITY INVESTMENTS INSTITUTIONAL OPERATIONS CO INC | R3 | 453,501.2150 | 8.00 | |||||||
QUALIFIED EMPLOYEE PLANS 401K FINOPS-IC FUNDS | R4 | 7,477,349.9290 | 57.19 | |||||||
100 MAGELLAN WAY # KW1C | ||||||||||
COVINGTON KY 41015-1987 |
Schedule F-37
Name and Address of Shareholder | Class of Shares | Number of Outstanding Shares Beneficially Owned | Percentage of Outstanding Shares of Noted Class Owned | |||||||
MFS LIFETIME 2020 FUND – continued | ||||||||||
TAYNIK & CO | R3 | 419,112.1910 | 7.39 | |||||||
CO STATE STREET BANK & TRUST | ||||||||||
1200 CROWN COLONY DR | ||||||||||
QUINCY MA 02169-0938 | ||||||||||
INTRUST EB R/R | R4 | 3,746,642.3750 | 28.66 | |||||||
PO BOX 48529 | ||||||||||
ATLANTA GA 30362-1529 | ||||||||||
MFS LIFETIME 2025 FUND | ||||||||||
RELIANCE TRUST CO FBO | A | 119,773.2430 | 10.90 | |||||||
RETIREMENT PLANS SERVICED BY METLIF | ||||||||||
C/O FASCORE LLC | ||||||||||
8515 E ORCHARD RD # 2T2 | ||||||||||
GREENWOOD VLG CO 80111-5002 | ||||||||||
PERSHING LLC | A | 110,516.6720 | 10.06 | |||||||
1 PERSHING PLZ | B | 13,776.4980 | 12.73 | |||||||
JERSEY CITY NJ 07399-0002 | C | 27,131.2180 | 11.08 | |||||||
DEBORAH A SAMUELS IRA | B | 9,683.1990 | 8.94 | |||||||
CROSSROADS FOR KIDS SIMPLE PLAN | ||||||||||
135 BOATWRIGHTS LOOP | ||||||||||
PLYMOUTH MA 02360-6638 | ||||||||||
IRA A/C STEPHEN L HAMMONDS | B | 8,613.6830 | 7.96 | |||||||
8485 HIGHWAY 10 S | ||||||||||
LAWNDALE NC 28090-8206 | ||||||||||
IRA R/O CHARLENE R REINEKE | C | 14,916.8830 | 6.09 | |||||||
691 ELLIOTTS LANE | ||||||||||
WHEELING WV 26003-7379 | ||||||||||
OPEN MRI OF ALLENTOWN LLC 401(K) PR | R1 | 1,459.5790 | 13.69 | |||||||
1251 WATERFRONT PL STE 525 | ||||||||||
PITTSBURGH PA 15222-4228 | ||||||||||
SERVICE FIRST RESTORATION & RE 401(K) | R1 | 1,244.8620 | 11.68 | |||||||
1251 WATERFRONT PL STE 525 | ||||||||||
PITTSBURGH PA 15222-4228 | ||||||||||
MASSACHUSETTS FINANCIAL SERVICES COMPANY | R1 | 4,350.6590 | 40.82 | |||||||
111 HUNTINGTON AVENUE | ||||||||||
BOSTON MA 02199-7632 | ||||||||||
SUNTWIST CORPORATION 401(K) | R1 | 1,357.8800 | 12.74 | |||||||
RETIREMENT PLAN | ||||||||||
100 MAGELLAN WAY | ||||||||||
COVINGTON KY 41015-1999 | ||||||||||
MASS MUTUAL LIFE INSURANCE CO | R2 | 563,545.7970 | 40.05 | |||||||
1295 STATE ST | R3 | 297,775.6740 | 11.9 | |||||||
SPRINGFIELD MA 01111-0001 | ||||||||||
WHOLESALE DOORS INC 401K PS PLA | R2 | 98,513.4750 | 7.00 | |||||||
6 RHOADS DR STE 7 | ||||||||||
UTICA NY 13502-6317 | ||||||||||
JOHN HANCOCK TRUST COMPANY LLC | R2 | 90,735.3930 | 6.45 | |||||||
690 CANTON ST STE 100 | ||||||||||
WESTWOOD MA 02090-2324 |
Schedule F-38
Name and Address of Shareholder | Class of Shares | Number of Outstanding Shares Beneficially Owned | Percentage of Outstanding Shares of Noted Class Owned | |||||||
MFS LIFETIME 2025 FUND – continued | ||||||||||
MAINES PAPER & FOOD SERVICE INC. 401(K) | R3 | 546,860.4010 | 21.89 | |||||||
SAVINGS AND PROFIT SHARING PLN | ||||||||||
100 MAGELLAN WAY | ||||||||||
COVINGTON KY 41015-1999 | ||||||||||
TAYNIK & CO | R3 | 215,994.7850 | 8.64 | |||||||
CO STATE STREET BANK & TRUST | ||||||||||
1200 CROWN COLONY DR | ||||||||||
QUINCY MA 02169-0938 | ||||||||||
FIDELITY INVESTMENTS INSTITUTIONAL OPERATIONS CO INC | R3 | 506,809.2390 | 20.28 | |||||||
QUALIFIED EMPLOYEE PLANS 401K FINOPS-IC FUNDS | R4 | 7,945,677.9780 | 81.86 | |||||||
100 MAGELLAN WAY # KW1C | ||||||||||
COVINGTON KY 41015-1987 | ||||||||||
MFS LIFETIME 2030 FUND | ||||||||||
PERSHING LLC | A | 304,242.2190 | 8.86 | |||||||
1 PERSHING PLZ | B | 67,625.2740 | 11.50 | |||||||
JERSEY CITY NJ 07399-0002 | C | 87,289.6850 | 7.95 | |||||||
MORGAN STANLEY SMITH BARNEY | C | 85,180.1160 | 7.76 | |||||||
HARBORSIDE FINANCIAL CENTER | ||||||||||
JERSEY CITY NJ 07311 | ||||||||||
JOHN HANCOCK TRUST COMPANY LLC | R2 | 2,468,400.7960 | 36.19 | |||||||
690 CANTON ST STE 100 | ||||||||||
WESTWOOD MA 02090-2324 | ||||||||||
MASS MUTUAL LIFE INSURANCE CO | R2 | 410,671.2540 | 6.02 | |||||||
ATTN RS FUND OPERATIONS | ||||||||||
1295 STATE ST | ||||||||||
SPRINGFIELD MA 01111-0001 | ||||||||||
MAINES PAPER & FOOD SERVICE INC. 40 | R3 | 587,316.3110 | 8.60 | |||||||
1(K) SAVINGS AND PROFIT SHARING PLN | ||||||||||
100 MAGELLAN WAY | ||||||||||
COVINGTON KY 41015-1999 | ||||||||||
FIDELITY INVESTMENTS INSTITUTIONAL OPERATIONS CO INC | R3 | 623,877.6110 | 9.14 | |||||||
QUALIFIED EMPLOYEE PLANS 401K FINOPS-IC FUNDS | R4 | 8,242,225.9520 | 57.63 | |||||||
100 MAGELLAN WAY # KW1C | ||||||||||
COVINGTON KY 41015-1987 | ||||||||||
RELIANCE TRUST CO FBO | R4 | 3,933,310.7540 | 27.50 | |||||||
INTRUST EB R/R | ||||||||||
PO BOX 48529 | ||||||||||
ATLANTA GA 30362-1529 | ||||||||||
MFS LIFETIME 2035 FUND | ||||||||||
PERSHING LLC | A | 124,920.8500 | 17.63 | |||||||
1 PERSHING PLZ | B | 6,943.2800 | 7.16 | |||||||
JERSEY CITY NJ 07399-0002 | C | 20,021.4410 | 14.12 | |||||||
RELIANCE TRUST CO FBO | A | 111,822.6680 | 15.79 | |||||||
RETIREMENT PLANS SERVICED BY METLIF | ||||||||||
C/O FASCORE LLC | ||||||||||
8515 E ORCHARD RD # 2T2 | ||||||||||
GREENWOOD VLG CO 80111-5002 | ||||||||||
STEPHEN LOMANNO IRA | B | 9,755.4230 | 10.06 | |||||||
LUCA DEBLASIO & CO INC SIMPLE PLAN | ||||||||||
20 AZALEA CIR | ||||||||||
READING MA 01867-2771 |
Schedule F-39
Name and Address of Shareholder | Class of Shares | Number of Outstanding Shares Beneficially Owned | Percentage of Outstanding Shares of Noted Class Owned | |||||||
MFS LIFETIME 2035 FUND – continued | ||||||||||
IRA R/O MICHELLE E FLETCHER | B | 4,996.5840 | 5.15 | |||||||
39 PILGRIM RD | ||||||||||
NATICK MA 01760-3225 | ||||||||||
SERVICE FIRST RESTORATION & RE 401(K) | R1 | 7,451.8940 | 29.48 | |||||||
1251 WATERFRONT PL STE 525 | ||||||||||
PITTSBURGH PA 15222-4228 | ||||||||||
REVERSE MORTGAGE CORP 401(K) | R1 | 4,816.2490 | 19.05 | |||||||
1251 WATERFRONT PL STE 525 | ||||||||||
PITTSBURGH PA 15222-4228 | ||||||||||
G BOPP USA INC 401K PS | R1 | 2,526.1800 | 9.99 | |||||||
1251 WATERFRONT PL STE 525 | ||||||||||
PITTSBURGH PA 15222-4228 | ||||||||||
BEE FRESH FLOWERS 401K PROFIT SHA | R1 | 838.2450 | 3.32 | |||||||
1251 WATERFRONT PL STE 525 | ||||||||||
PITTSBURGH PA 15222-4228 | ||||||||||
MASSACHUSETTS FINANCIAL SERVICES COMPANY | R1 | 4,145.0630 | 16.40 | |||||||
111 HUNTINGTON AVENUE | ||||||||||
BOSTON MA 02199-7632 | ||||||||||
MASS MUTUAL LIFE INSURANCE CO | R2 | 326,311.8880 | 35.47 | |||||||
1295 STATE ST | R3 | 236,478.3040 | 10.99 | |||||||
SPRINGFIELD MA 01111-0001 | ||||||||||
JOHN HANCOCK TRUST COMPANY LLC | R2 | 125,317.2520 | 13.62 | |||||||
690 CANTON ST STE 100 | ||||||||||
WESTWOOD MA 02090-2324 | ||||||||||
MINDJET LLC | R2 | 46,699.6570 | 5.08 | |||||||
100 MAGELLAN WAY | ||||||||||
COVINGTON KY 41015-1987 | ||||||||||
MAINES PAPER & FOOD SERVICE INC. 40 | R3 | 212,342.2870 | 9.87 | |||||||
1(K) SAVINGS AND PROFIT SHARING PLN | ||||||||||
100 MAGELLAN WAY | ||||||||||
COVINGTON KY 41015-1999 | ||||||||||
AXIOM GLOBAL, INC. | R3 | 192,676.9120 | 8.96 | |||||||
100 MAGELLAN WAY | ||||||||||
COVINGTON KY 41015-1999 | ||||||||||
PREFERRED HOTEL GROUP INC | R3 | 133,536.3380 | 6.21 | |||||||
401(K) PROFIT SHARING PLAN | ||||||||||
100 MAGELLAN WAY | ||||||||||
COVINGTON KY 41015-1999 | ||||||||||
PIMS/PRUDENTIAL RETPLAN | R3 | 166,892.0970 | 7.76 | |||||||
NOMINEE TRUSTEE CUSTODIAN | ||||||||||
010 IBEW LOCAL UNION NO 716 | ||||||||||
8441 GULF FWY | �� | |||||||||
HOUSTON TX 77017-5000 | ||||||||||
FIDELITY INVESTMENTS INSTITUTIONAL OPERATIONS CO INC | R3 | 507,791.8730 | 23.61 | |||||||
QUALIFIED EMPLOYEE PLANS 401K FINOPS-IC FUNDS | R4 | 6,498,469.7260 | 83.97 | |||||||
100 MAGELLAN WAY # KW1C | ||||||||||
COVINGTON KY 41015-1987 |
Schedule F-40
Name and Address of Shareholder | Class of Shares | Number of Outstanding Shares Beneficially Owned | Percentage of Outstanding Shares of Noted Class Owned | |||||||
MFS LIFETIME 2040 FUND | ||||||||||
PERSHING LLC | A | 139,037.9060 | 6.56 | |||||||
1 PERSHING PLZ | B | 29,102.5730 | 9.23 | |||||||
JERSEY CITY NJ 07399-0002 | C | 62,733.6360 | 8.65 | |||||||
VOYA INSTITUTIONAL TRUST COMPANY | A | 109,551.7580 | 5.17 | |||||||
1 ORANGE WAY B3N | ||||||||||
WINDSOR CT 06095-4773 | ||||||||||
HOWARD CHEN FBO | R1 | 22,887.9660 | 7.41 | |||||||
PICKETT CHEN & COMPANY INC 401K PSP & TRUST | ||||||||||
16411 SCIENTIFIC STE 100 | ||||||||||
IRVINE CA 92618-4358 | ||||||||||
JOHN HANCOCK TRUST COMPANY LLC | R2 | 1,882,787.0000 | 38.22 | |||||||
690 CANTON ST STE 100 | ||||||||||
WESTWOOD MA 02090-2324 | ||||||||||
MASSMUTUAL | R2 | 1,025,893.1260 | 20.82 | |||||||
PO BOX 48529 | R4 | 486,677.9620 | 3.85 | |||||||
ATLANTA GA 30362-1529 | ||||||||||
MASS MUTUAL LIFE INSURANCE CO | R2 | 256,721.5320 | 5.21 | |||||||
ATTN RS FUND OPERATIONS | ||||||||||
1295 STATE ST | ||||||||||
SPRINGFIELD MA 01111-0001 | ||||||||||
STATE STREET BANK TRUST CO TTEE | R3 | 238,294.5090 | 6.03 | |||||||
VARIOUS RETIREMENT PLANS | ||||||||||
440 MAMARONECK AVE | ||||||||||
HARRISON NY 10528-2418 | ||||||||||
TAYNIK & CO | R3 | 292,630.5810 | 7.40 | |||||||
CO STATE STREET BANK & TRUST | ||||||||||
1200 CROWN COLONY DR | ||||||||||
QUINCY MA 02169-0938 | ||||||||||
INTRUST EB R/R | R4 | 3,936,692.0950 | 31.16 | |||||||
PO BOX 48529 | ||||||||||
ATLANTA GA 30362-1529 | ||||||||||
FIDELITY INVESTMENTS INSTITUTIONAL OPERATIONS CO INC | R4 | 6,954,946.6760 | 55.04 | |||||||
QUALIFIED EMPLOYEE PLANS 401K FINOPS-IC FUNDS | ||||||||||
100 MAGELLAN WAY # KW1C | ||||||||||
COVINGTON KY 41015-1987 | ||||||||||
MFS LIFETIME 2045 FUND | ||||||||||
PERSHING LLC | A | 87,007.1260 | 20.66 | |||||||
1 PERSHING PLZ | B | 3,821.7590 | 7.62 | |||||||
JERSEY CITY NJ 07399-0002 | ||||||||||
RELIANCE TRUST CO FBO | A | 44,105.6600 | 10.47 | |||||||
RETIREMENT PLANS SERVICED BY METLIF C/O FASCORE LLC | ||||||||||
8515 E ORCHARD RD # 2T2 | ||||||||||
GREENWOOD VLG CO 80111-5002 | ||||||||||
MORGAN STANLEY SMITH BARNEY | B | 5,544.1830 | 11.05 | |||||||
HARBORSIDE FINANCIAL CENTER PLAZA | ||||||||||
JERSEY CITY NJ 07311 | ||||||||||
BB&T SECURITIES IRA CUST FBO | B | 4,587.7830 | 9.14 | |||||||
DEBRA STEIMERS | ||||||||||
9358 NC HIGHWAY 902 | ||||||||||
SILER CITY NC 27344-6827 |
Schedule F-41
Name and Address of Shareholder | Class of Shares | Number of Outstanding Shares Beneficially Owned | Percentage of Outstanding Shares of Noted Class Owned | |||||||
MFS LIFETIME 2045 FUND – continued | ||||||||||
MASSACHUSETTS FINANCIAL SERVICES COMPANY | B | 4,124.3970 | 8.22 | |||||||
111 HUNTINGTON AVENUE | R1 | 4,100.1610 | 24.81 | |||||||
BOSTON MA 02199-7632 | ||||||||||
MFS HERITAGE TRUST CO TRUSTEE | B | 2,532.1680 | 5.05 | |||||||
ROTH IRA A/C BRIAN J MILLER | ||||||||||
607 WINDSOR DR | ||||||||||
SOLON IA 52333-9614 | ||||||||||
MFS HERITAGE TRUST CO TTEE | C | 6,398.4220 | 5.71 | |||||||
WILLIAM T LESTER IRA ENGINEERING DESIGN ASSOC SIMPLE | ||||||||||
910 E SEATTLE PL | ||||||||||
BROKEN ARROW OK 74012-9364 | ||||||||||
MASS MUTUAL LIFE INSURANCE CO | R2 | 184,409.3830 | 37.62 | |||||||
1295 STATE ST | R3 | 71,404.7900 | 5.20 | |||||||
SPRINGFIELD MA 01111-0001 | ||||||||||
MINDJET LLC | R2 | 46,527.2590 | 9.49 | |||||||
100 MAGELLAN WAY | ||||||||||
COVINGTON KY 41015-1987 | ||||||||||
JOHN HANCOCK TRUST COMPANY LLC | R2 | 29,543.7680 | 6.03 | |||||||
690 CANTON ST STE 100 | ||||||||||
WESTWOOD MA 02090-2324 | ||||||||||
MAINES PAPER & FOOD SERVICE INC. 401(K) | R3 | 164,670.8660 | 12.00 | |||||||
SAVINGS AND PROFIT SHARING PLN | ||||||||||
100 MAGELLAN WAY | ||||||||||
COVINGTON KY 41015-1999 | ||||||||||
AXIOM GLOBAL, INC. | R3 | 111,884.2880 | 8.15 | |||||||
100 MAGELLAN WAY | ||||||||||
COVINGTON KY 41015-1999 | ||||||||||
TAYNIK & CO | R3 | 132,613.2860 | 9.66 | |||||||
CO STATE STREET BANK & TRUST | ||||||||||
1200 CROWN COLONY DR | ||||||||||
QUINCY MA 02169-0938 | ||||||||||
FIDELITY INVESTMENTS INSTITUTIONAL OPERATIONS CO INC | R3 | 284,245.2250 | 20.71 | |||||||
QUALIFIED EMPLOYEE PLANS 401K FINOPS-IC FUNDS | R4 | 4,157,752.7080 | 76.33 | |||||||
100 MAGELLAN WAY # KW1C | ||||||||||
COVINGTON KY 41015-1987 | ||||||||||
MASSMUTUAL | R3 | 91,801.8210 | 6.69 | |||||||
PO BOX 48529 | ||||||||||
ATLANTA GA 30362-1529 | ||||||||||
ADP ACCESS PRODUCT | R3 | 69,533.2420 | 5.07 | |||||||
1 LINCOLN ST | ||||||||||
BOSTON MA 02111-2900 | ||||||||||
BMO HARRIS BANK NA | R4 | 420,329.3530 | 7.72 | |||||||
FBO BANK 98 DLY RCRDKPG | ||||||||||
ATTN:MUT FUNDS 11270 W PARK PL | ||||||||||
MILWAUKEE WI 53224 | ||||||||||
INTRUST EB R/R | R4 | 276,562.5810 | 5.08 | |||||||
PO BOX 48529 | ||||||||||
ATLANTA GA 30362-1529 |
Schedule F-42
Name and Address of Shareholder | Class of Shares | Number of Outstanding Shares Beneficially Owned | Percentage of Outstanding Shares of Noted Class Owned | |||||||
MFS LIFETIME 2050 FUND | ||||||||||
RELIANCE TRUST CO FBO | A | 64,361.6400 | 10.59 | |||||||
RETIREMENT PLANS SERVICED BY METLIF C/O FASCORE LLC | ||||||||||
8515 E ORCHARD RD # 2T2 | ||||||||||
GREENWOOD VLG CO 80111-5002 | ||||||||||
VOYA INSTITUTIONAL TRUST COMPANY | A | 71,247.9570 | 11.73 | |||||||
1 ORANGE WAY B3N | ||||||||||
WINDSOR CT 06095-4773 | ||||||||||
PERSHING LLC | A | 50,218.5820 | 8.27 | |||||||
1 PERSHING PLZ | B | 7,016.7940 | 12.39 | |||||||
JERSEY CITY NJ 07399-0002 | C | 8,615.6750 | 6.44 | |||||||
MFS HERITAGE TRUST CO TRUSTEE | B | 3,539.3640 | 6.25 | |||||||
IRA R/O HOLLY FORD | ||||||||||
123 FIELDCREST DR | ||||||||||
HENDERSONVILLE TN 37075-7000 | ||||||||||
MASSACHUSETTS FINANCIAL SERVICES COMPANY | B | 3,425.8050 | 6.05 | |||||||
111 HUNTINGTON AVENUE | R1 | 3,432.3250 | 13.87 | |||||||
BOSTON MA 02199-7632 | ||||||||||
IRA R/O MIKE C THOMPSON | C | 8,028.1380 | 6.01 | |||||||
RR 3 BOX 183A | ||||||||||
WHEELING WV 26003-7351 | ||||||||||
MASSMUTUAL | R1 | 13,005.8620 | 52.57 | |||||||
PO BOX 48529 | ||||||||||
ATLANTA GA 30362-1529 | ||||||||||
COACHCRAFT AUTOBODY INC 401K PSP & TRUST | R1 | 1,546.5270 | 6.25 | |||||||
1251 WATERFRONT PL STE 525 | ||||||||||
PITTSBURGH PA 15222-4228 | ||||||||||
MILLER-LEAMAN 401K PSP & TRUST | R1 | 1,544.1590 | 6.24 | |||||||
1251 WATERFRONT PL STE 525 | ||||||||||
PITTSBURGH PA 15222-4228 | ||||||||||
JOHN HANCOCK TRUST COMPANY LLC | R2 | 955,043.1890 | 56.83 | |||||||
690 CANTON ST STE 100 | ||||||||||
WESTWOOD MA 02090-2324 | ||||||||||
MELTWATER NEWS US1, INC. | R2 | 102,379.4920 | 6.09 | |||||||
100 MAGELLAN WAY | ||||||||||
COVINGTON KY 41015-1999 | ||||||||||
MAINES PAPER & FOOD SERVICE INC. 40 1(K) | R3 | 96,576.0200 | 6.97 | |||||||
SAVINGS AND PROFIT SHARING PLN | ||||||||||
100 MAGELLAN WAY | ||||||||||
COVINGTON KY 41015-1999 | ||||||||||
AXIOM GLOBAL, INC. | R3 | 71,506.2830 | 5.16 | |||||||
100 MAGELLAN WAY | ||||||||||
COVINGTON KY 41015-1999 | ||||||||||
FIDELITY INVESTMENTS INSTITUTIONAL OPERATIONS CO INC | R3 | 180,749.1260 | 13.05 | |||||||
QUALIFIED EMPLOYEE PLANS 401K FINOPS-IC FUNDS | R4 | 2,325,105.1570 | 47.19 | |||||||
100 MAGELLAN WAY # KW1C | ||||||||||
COVINGTON KY 41015-1987 | ||||||||||
TAYNIK & CO | R3 | 117,808.9230 | 8.50 | |||||||
CO STATE STREET BANK & TRUST | ||||||||||
1200 CROWN COLONY DR | ||||||||||
QUINCY MA 02169-0938 |
Schedule F-43
Name and Address of Shareholder | Class of Shares | Number of Outstanding Shares Beneficially Owned | Percentage of Outstanding Shares of Noted Class Owned | |||||||
MFS LIFETIME 2050 FUND – continued | ||||||||||
MASS MUTUAL LIFE INSURANCE CO | R3 | 106,274.4480 | 7.67 | |||||||
ATTN RS FUND OPERATIONS | ||||||||||
1295 STATE ST | ||||||||||
SPRINGFIELD MA 01111-0001 | ||||||||||
INTRUST EB R/R | R4 | 1,940,673.7680 | 39.39 | |||||||
PO BOX 48529 | R4 | 1,940,673.7680 | 39.39 | |||||||
ATLANTA GA 30362-1529 | ||||||||||
MFS LIFETIME 2055 FUND | ||||||||||
RELIANCE TRUST CO FBO | A | 21,201.8450 | 10.54 | |||||||
RETIREMENT PLANS SERVICED BY METLIF C/O FASCORE LLC | ||||||||||
8515 E ORCHARD RD # 2T2 | ||||||||||
GREENWOOD VLG CO 80111-5002 | ||||||||||
PERSHING LLC | A | 14,329.4670 | 7.13 | |||||||
1 PERSHING PLZ | B | 5,061.6610 | 20.29 | |||||||
JERSEY CITY NJ 07399-0002 | ||||||||||
MASSACHUSETTS FINANCIAL SERVICES COMPANY | B | 4,077.6280 | 16.34 | |||||||
111 HUNTINGTON AVENUE | I | 4,084.5040 | 5.55 | |||||||
BOSTON MA 02199-7632 | R1 | 4,059.0710 | 47.05 | |||||||
IRA A/C ANDREA E CAMUT | B | 1,418.8240 | 5.69 | |||||||
732 SUMMERLEA ST APT 2 | ||||||||||
PITTSBURGH PA 15232-2547 | ||||||||||
IRA A/C MEREDITH B BALLOU | B | 1,359.4770 | 5.45 | |||||||
3706 DARWIN RD | ||||||||||
DURHAM NC 27707-5306 | ||||||||||
KIM R GOODLING | B | 1,336.3140 | 5.36 | |||||||
1302 BEN HUR DR | ||||||||||
HOUSTON TX 77055-6606 | ||||||||||
SERVICE FIRST RESTORATION & RE 401(K) | R1 | 881.2880 | 10.21 | |||||||
1251 WATERFRONT PL STE 525 | ||||||||||
PITTSBURGH PA 15222-4228 | ||||||||||
COLLAGEN MATRIX 401(K) PROFIT SHARING | R1 | 502.6020 | 5.83 | |||||||
PITTSBURGH PA 15222-4228 | ||||||||||
1251 WATERFRONT PL STE 525 | ||||||||||
MELTWATER NEWS US1, INC. | R2 | 79,429.6720 | 25.98 | |||||||
100 MAGELLAN WAY | ||||||||||
COVINGTON KY 41015-1999 | ||||||||||
MINDJET LLC | R2 | 20,676.9640 | 6.76 | |||||||
100 MAGELLAN WAY | ||||||||||
COVINGTON KY 41015-1987 | ||||||||||
MASS MUTUAL LIFE INSURANCE CO | R2 | 75,705.3260 | 24.76 | |||||||
ATTN RS FUND OPERATIONS | R3 | 86,498.9050 | 16.65 | |||||||
1295 STATE ST | ||||||||||
SPRINGFIELD MA 01111-0001 | ||||||||||
RUBBER ENGINEERING & DEVELOPM 401(K) | R2 | 22,467.4560 | 7.35 | |||||||
1251 WATERFRONT PL STE 525 | ||||||||||
PITTSBURGH PA 15222-4228 | ||||||||||
MAINES PAPER & FOOD SERVICE INC. 401(K) | R3 | 107,770.8760 | 20.75 | |||||||
SAVINGS AND PROFIT SHARING PLN | ||||||||||
100 MAGELLAN WAY | ||||||||||
COVINGTON KY 41015-1999 |
Schedule F-44
Name and Address of Shareholder | Class of Shares | Number of Outstanding Shares Beneficially Owned | Percentage of Outstanding Shares of Noted Class Owned | |||||||
MFS LIFETIME 2055 FUND – continued | ||||||||||
FIDELITY INVESTMENTS INSTITUTIONAL OPERATIONS CO INC | R3 | 81,893.7980 | 15.77 | |||||||
QUALIFIED EMPLOYEE PLANS 401K FINOPS-IC FUNDS | R4 | 696,279.6080 | 58.16 | |||||||
100 MAGELLAN WAY # KW1C | ||||||||||
COVINGTON KY 41015-1987 | ||||||||||
TAYNIK & CO | R3 | 31,071.3050 | 5.98 | |||||||
CO STATE STREET BANK & TRUST | ||||||||||
1200 CROWN COLONY DR | ||||||||||
QUINCY MA 02169-0938 | ||||||||||
BMO HARRIS BANK NA | ||||||||||
INTRUST EB R/R | R4 | 268,604.3770 | 22.44 | |||||||
PO BOX 48529 | ||||||||||
ATLANTA GA 30362-1529 | ||||||||||
MFS LIFETIME INCOME FUND | ||||||||||
PERSHING LLC | A | 1,160,991.1100 | 11.81 | |||||||
1 PERSHING PLZ | B | 179,677.7220 | 13.06 | |||||||
JERSEY CITY NJ 07399-0002 | �� | C | 651,218.1090 | 5.25 | ||||||
I | 315,826.2170 | 13.07 | ||||||||
R4 | 5,263,848.1700 | 6.60 | ||||||||
MID ATLANTIC TRUST CO FBO | R1 | 47,916.9550 | 12.56 | |||||||
CENTER FOR PEDIATRIC THERAPY 401K | ||||||||||
1251 WATERFRONT PL STE 525 | ||||||||||
PITTSBURGH PA 15222-4228 | ||||||||||
MASSMUTUAL | R1 | 110,608.4060 | 29.00 | |||||||
PO BOX 48529 | R2 | 649,470.4960 | 26.61 | |||||||
ATLANTA GA 30362-1529 | ||||||||||
NG BEACON | R1 | 72,516.1090 | 19.01 | |||||||
MEDICAL SVCS FBO G. PINEDA | ||||||||||
C/O BMO HARRIS BANK NA ATTN MF | ||||||||||
480 PILGRIM WAY, SUITE 1000 | ||||||||||
GREEN BAY WI 54304-5280 | ||||||||||
MARSHALL MACHINERY INC 401K PSP & TRUST | R1 | 29,565.6420 | 7.75 | |||||||
1251 WATERFRONT PL STE 525 | ||||||||||
PITTSBURGH PA 15222-4228 | ||||||||||
JOHN HANCOCK TRUST COMPANY LLC | R2 | 726,585.7350 | 29.76 | |||||||
690 CANTON ST STE 100 | ||||||||||
WESTWOOD MA 02090-2324 | ||||||||||
MASS MUTUAL LIFE INSURANCE CO | R2 | 184,076.8690 | 7.54 | |||||||
1295 STATE ST | R3 | 291,878.1710 | 7.47 | |||||||
SPRINGFIELD MA 01111-0001 | ||||||||||
TAYNIK & CO | R3 | 257,385.1030 | 6.58 | |||||||
CO STATE STREET BANK & TRUST | ||||||||||
1200 CROWN COLONY DR | ||||||||||
QUINCY MA 02169-0938 | ||||||||||
FIDELITY INVESTMENTS INSTITUTIONAL OPERATIONS CO INC | R3 | 465,055.2030 | 11.90 | |||||||
QUALIFIED EMPLOYEE PLANS 401K FINOPS-IC FUNDS | R4 | 6,974,679.8270 | 69.41 | |||||||
100 MAGELLAN WAY # KW1C | ||||||||||
COVINGTON KY 41015-1987 | ||||||||||
INTRUST EB R/R | R4 | 1,169,243.9160 | 11.64 | |||||||
PO BOX 48529 | ||||||||||
ATLANTA GA 30362-1529 |
Schedule F-45
Name and Address of Shareholder | Class of Shares | Number of Outstanding Shares Beneficially Owned | Percentage of Outstanding Shares of Noted Class Owned | |||||||
MFS LIMITED MATURITY FUND | ||||||||||
PERSHING LLC | A | 5,263,848.1700 | 6.60 | |||||||
1 PERSHING PLZ | B | 133,404.1040 | 12.58 | |||||||
JERSEY CITY NJ 07399-0002 | C | 1,761,291.0970 | 9.45 | |||||||
MORGAN STANLEY SMITH BARNEY | I | 8,158,306.8990 | 21.11 | |||||||
HARBORSIDE FINANCIAL CENTER | ||||||||||
JERSEY CITY NJ 07311 | ||||||||||
JACALYN F BARNETT FBO | R1 | 9,824.0220 | 17.00 | |||||||
LAW OFFICES OF JACALYN F BARN 401K PSP & TRUST | ||||||||||
260 MADISON AVE FL 18 | ||||||||||
NEW YORK NY 10016-2401 | ||||||||||
MASSACHUSETTS FINANCIAL SERVICES COMPANY | R1 | 8,410.5980 | 14.55 | |||||||
111 HUNTINGTON AVENUE | ||||||||||
BOSTON MA 02199-7632 | ||||||||||
COBRA MAG HOLDINGS LLC 401K PSP & TRUST | R1 | 6,487.0740 | 11.23 | |||||||
1251 WATERFRONT PL STE 525 | ||||||||||
PITTSBURGH PA 15222-4228 | ||||||||||
CARL BELT INC | R2 | 47,311.2530 | 7.94 | |||||||
1251 WATERFRONT PL STE 525 | ||||||||||
PITTSBURGH PA 15222-4228 | ||||||||||
MIKE SHAW AUTOMOTIVE 401(K) PS PLAN | R3 | 55,513.5640 | 12.16 | |||||||
100 MAGELLAN WAY | ||||||||||
COVINGTON KY 41015-1999 | ||||||||||
QVINE CORPORATION 401(K) PLAN | R3 | 30,492.4590 | 6.68 | |||||||
100 MAGELLAN WAY | ||||||||||
COVINGTON KY 41015-1999 | ||||||||||
ASCENSUS TRUST COMPANY FBO | R3 | 68,384.7040 | 14.98 | |||||||
LEBLANC & ASSOCIATES 401K RETIRE | ||||||||||
PO BOX 10758 | ||||||||||
FARGO ND 58106-0758 | ||||||||||
MFS CONSERVATIVE ALLOCATION FUND | R6 | 50,048,227.8380 | 57.74 | |||||||
2 AVENUE DE LAFAYETTE | ||||||||||
BOSTON MA 02111-1750 | ||||||||||
MFS LIFETIME INCOME FUND | R6 | 21,022,973.1530 | 24.25 | |||||||
2 AVENUE DE LAFAYETTE | ||||||||||
BOSTON MA 02111-1750 | ||||||||||
MFS LIFETIME 2020 FUND | R6 | 8,282,810.1030 | 9.56 | |||||||
ATTN: LCC 3RD FL MFS GRP | ||||||||||
2 AVENUE DE LAFAYETTE | ||||||||||
BOSTON MA 02111-1750 | ||||||||||
MFS LOW VOLATILITY EQUITY FUND | ||||||||||
PERSHING LLC | A | 181,001.1120 | 7.32 | |||||||
1 PERSHING PLZ | B | 27,537.3860 | 17.99 | |||||||
JERSEY CITY NJ 07399-0002 | C | 45,244.6270 | 5.67 | |||||||
I | 155,470.4960 | 10.25 | ||||||||
OPPENHEIMER & CO INC | B | 8,432.3640 | 5.51 | |||||||
FBO VIRGIL A KILGROE (TOD) | ||||||||||
4130 DELLBROOK DR | ||||||||||
TAMPA FL 33624-1847 |
Schedule F-46
Name and Address of Shareholder | Class of Shares | Number of Outstanding Shares Beneficially Owned | Percentage of Outstanding Shares of Noted Class Owned | |||||||
MFS LOW VOLATILITY EQUITY FUND – continued | ||||||||||
MASSACHUSETTS FINANCIAL SERVICES COMPANY | R1 | 4,537.3340 | 100.00 | |||||||
111 HUNTINGTON AVE | R2 | 4,189.0000 | 100.00 | |||||||
BOSTON MA 02199-7610 | R3 | 4,197.5660 | 100.00 | |||||||
R4 | 4,209.6890 | 100.00 | ||||||||
SACCUCCI AUTO GROUP | R6 | 8,405.0190 | 7.68 | |||||||
401(K) RETIREMENT PLAN | ||||||||||
100 MAGELLAN WAY | ||||||||||
COVINGTON KY 41015-1999 | ||||||||||
MFS LOW VOLATILITY GLOBAL EQUITY FUND | ||||||||||
STEVEN R GORHAM & DOROTHY L GORHAM JT WROS | A | 89,947.6410 | 14.02 | |||||||
28 HEARTHSTONE PL | ||||||||||
ANDOVER MA 01810-5421 | ||||||||||
PERSHING LLC | B | 4,729.4610 | 18.84 | |||||||
1 PERSHING PLZ | C | 11,371.0070 | 7.76 | |||||||
JERSEY CITY NJ 07399-0002 | ||||||||||
MASSACHUSETTS FINANCIAL SERVICES COMPANY | B | 4,714.6920 | 18.78 | |||||||
111 HUNTINGTON AVE | R1 | 4,698.1990 | 100.00 | |||||||
BOSTON MA 02199-7610 | R2 | 4,717.4830 | 76.58 | |||||||
R3 | 4,726.1410 | 100.00 | ||||||||
R4 | 4,744.4050 | 100.00 | ||||||||
EMIKO DOI | B | 2,652.5350 | 10.57 | |||||||
538 39TH AVE | ||||||||||
SAN FRANCISCO CA 94121-2620 | ||||||||||
THOMAS P DATWYLER | B | 1,263.9980 | 5.04 | |||||||
T & T COLLISION SIMPLE PLAN | ||||||||||
740 REGAL RIDGE CIR | ||||||||||
HUDSON WI 54016 | ||||||||||
JAMES A JESSEE | I | 550,456.1920 | 27.06 | |||||||
111 HUNTINGTON AVENUE | ||||||||||
BOSTON MA 02118-1208 | ||||||||||
PAI TRUST COMPANY INC | R2 | 1,442.3370 | 23.42 | |||||||
SALESCORE, INC 401(K) P/S PLAN | ||||||||||
1300 ENTERPRISE DR | ||||||||||
DE PERE WI 54115-4934 | ||||||||||
US BANK NATIONAL ASSOCIATION | R6 | 248,634.6460 | 6.32 | |||||||
1555 N RIVERCENTER DR STE 302 | ||||||||||
MILWAUKEE WI 53212-3958 | ||||||||||
MFS MANAGED WEALTH FUND | ||||||||||
PERSHING LLC | A | 252,046.1800 | 35.49 | |||||||
1 PERSHING PLZ | B | 1,727.5670 | 25.07 | |||||||
JERSEY CITY NJ 07399-0002 | C | 104,788.0480 | 28.63 | |||||||
STEVEN R GORHAM & DOROTHY L GORHAM JT WROS | A | 99,507.5800 | 14.01 | |||||||
28 HEARTHSTONE PL | ||||||||||
ANDOVER MA 01810-5421 | ||||||||||
DANIEL J BOYCE SHELLEY L BOYCE JT WROS | A | 50,556.1170 | 7.12 | |||||||
400 DEVEREUX DR | ||||||||||
VILLANOVA PA 19085-1932 |
Schedule F-47
Name and Address of Shareholder | Class of Shares | Number of Outstanding Shares Beneficially Owned | Percentage of Outstanding Shares of Noted Class Owned | |||||||
MFS MANAGED WEALTH FUND – continued | ||||||||||
MASSACHUSETTS FINANCIAL SERVICES COMPANY | B | 5,051.2710 | 73.32 | |||||||
111 HUNTINGTON AVE | I | 2,129,608.7560 | 49.88 | |||||||
BOSTON MA 02199-7610 | R1 | 5,051.1810 | 100.00 | |||||||
R2 | 5,035.5120 | 100.0 | ||||||||
R3 | 5,032.7510 | 100.00 | ||||||||
R4 | 5,044.8940 | 100.00 | ||||||||
JAMES A JESSEE | I | 442,134.5020 | 9.73 | |||||||
111 HUNTINGTON AVENUE | ||||||||||
BOSTON MA 02118-1208 | ||||||||||
MFS MARYLAND MUNICIPAL BOND FUND | ||||||||||
MORGAN STANLEY SMITH BARNEY | A | 641,644.0100 | 8.20 | |||||||
HARBORSIDE FINANCIAL CENTER | ||||||||||
PLAZA 2 3RD FLOOR | ||||||||||
JERSEY CITY NJ 07311 | ||||||||||
RONALD L HARSHMAN & LILLIAN J HARSHMAN JTWROS | B | 9,216.5560 | 5.53 | |||||||
11907 SUN VALLEY DR | ||||||||||
HAGERSTOWN MD 21742-4378 | ||||||||||
DORA A SIMMONS | B | 8,543.7070 | 5.12 | |||||||
15624 NATIONAL PIKE | ||||||||||
HAGERSTOWN MD 21740-2138 | ||||||||||
MFS MASSACHUSETTS MUNICIPAL BOND FUND | ||||||||||
PERSHING LLC | A | 1,309,900.5570 | 6.69 | |||||||
1 PERSHING PLZ | B | 22,838.3470 | 8.70 | |||||||
JERSEY CITY NJ 07399-0002 | ||||||||||
MFS MID CAP GROWTH FUND | ||||||||||
MFS GROWTH ALLOCATION FUND | R6 | 29,693,003.9070 | 35.63 | |||||||
ATTN: LCC 3RD FL MFS GRP | ||||||||||
2 AVENUE DE LAFAYETTE | ||||||||||
BOSTON MA 02111-1750 | ||||||||||
MFS MODERATE ALLOCATION FUND | R6 | 27,435,749.1470 | 32.92 | |||||||
ATTN: LCC 3RD FL MFS GRP | ||||||||||
2 AVENUE DE LAFAYETTE | ||||||||||
BOSTON MA 02111-1750 | ||||||||||
MFS AGGRESSIVE GROWTH ALLOCATION FUND | R6 | 10,640,147.8630 | 12.77 | |||||||
ATTN: LCC 3RD FL MFS GRP | ||||||||||
2 AVENUE DE LAFAYETTE | ||||||||||
BOSTON MA 02111-1750 | ||||||||||
MFS CONSERVATIVE ALLOCATION FUND | R6 | 7,844,269.4210 | 9.41 | |||||||
ATTN: LCC 3RD FL MFS GRP | ||||||||||
2 AVENUE DE LAFAYETTE | ||||||||||
BOSTON MA 02111-1750 | ||||||||||
MFS SERVICE CENTER INC. | 529B | 4,189.0540 | 29.67 | |||||||
ATTN: JOSEPH LYNCH | ||||||||||
111 HUNTINGTON AVENUE | ||||||||||
BOSTON MA 02199-7632 | ||||||||||
ANDREA M BOUCK | 529B | 1,723.2040 | 12.20 | |||||||
1799 NE ROCKY DR | ||||||||||
ROSEBURG OR 97470-5744 | ||||||||||
JERRY D ROUTH | 529B | 1,167.6600 | 8.27 | |||||||
133 AUGUSTA ST | ||||||||||
HENDERSON NV 89074-1052 |
Schedule F-48
Name and Address of Shareholder | Class of Shares | Number of Outstanding Shares Beneficially Owned | Percentage of Outstanding Shares of Noted Class Owned | |||||||
MFS MID CAP GROWTH FUND – continued | ||||||||||
PERSHING LLC | C | 468,000.3120 | 10.95 | |||||||
1 PERSHING PLZ | ||||||||||
JERSEY CITY NJ 07399-0002 | ||||||||||
OMNICA CORPORATION EMPLOYEES PROFIT | R2 | 19,709.4430 | 5.04 | |||||||
717 17TH ST STE 1300 | ||||||||||
DENVER CO 80202-3304 | ||||||||||
MASSMUTUAL | R2 | 138,241.6350 | 12.50 | |||||||
PO BOX 48529 | ||||||||||
ATLANTA GA 30362-1529 | ||||||||||
ASCENSUS TRUST CO FBO | R2 | 56,770.8420 | 5.13 | |||||||
NORTH AMERICAN ELECTRIC, INC 401(K) | ||||||||||
PO BOX 10758 | ||||||||||
FARGO ND 58106-0758 | ||||||||||
FIDELITY INVESTMENTS INSTITUTIONAL OPERATIONS CO INC | R3 | 177,272.3460 | 16.03 | |||||||
QUALIFIED EMPLOYEE PLANS (401K) FINOPS-IC FUNDS | R4 | 495,660.3810 | 53.17 | |||||||
100 MAGELLAN WAY # KW1C | ||||||||||
COVINGTON KY 41015-1987 | ||||||||||
STATE STREET BANK TRUST CO TTEE | R3 | 104,853.3460 | 9.48 | |||||||
VARIOUS RETIREMENT PLANS | ||||||||||
440 MAMARONECK AVE | ||||||||||
HARRISON NY 10528-2418 | ||||||||||
GREAT-WEST TRUST COMPANY LLC TTEE F | R4 | 125,613.2940 | 13.47 | |||||||
TAYLOR PORTER BROOKS & PHILLIPS LLP | ||||||||||
8515 E ORCHARD RD 2T2 | ||||||||||
GREENWOOD VLG CO 80111-5002 | ||||||||||
ARBELLA 401(K) SAVINGS PLAN | R4 | 58,142.4590 | 6.24 | |||||||
100 MAGELLAN WAY | ||||||||||
COVINGTON KY 41015-1999 | ||||||||||
MFS MID CAP VALUE FUND | ||||||||||
CHRISTOPHER TANNER | 529B | 916.3410 | 6.92 | |||||||
465 EUREKA DR | ||||||||||
ESCONDIDO CA 92027-6226 | ||||||||||
MICHELLE G RAJOTTE | 529B | 782.7950 | 5.91 | |||||||
8717 DOWD CT | ||||||||||
WASHINGTON TOWNSHIP OH 45458-2957 | ||||||||||
SHARYN FAURE MILLER | 529B | 682.3670 | 5.15 | |||||||
1150 NW COMMERCE CT | ||||||||||
ESTACADA OR 97023-7700 | ||||||||||
PERSHING LLC | B | 121,831.0490 | 11.98 | |||||||
1 PERSHING PLZ | C | 693,375.9530 | 8.99 | |||||||
JERSEY CITY NJ 07399-0002 | I | 5,866,606.9700 | 14.58 | |||||||
AMERICAN UNITED LIFE | R3 | 2,117,712.5740 | 11.17 | |||||||
GROUP RETIREMENT ANNUITY | ||||||||||
PO BOX 368 | ||||||||||
INDIANAPOLIS IN 46206-0368 | ||||||||||
FIDELITY INVESTMENTS INSTITUTIONAL OPERATIONS CO INC | R3 | 3,416,404.4660 | 18.03 | |||||||
QUALIFIED EMPLOYEE PLANS 401K FINOPS-IC FUNDS | R4 | 4,914,900.9160 | 19.34 | |||||||
100 MAGELLAN WAY # KW1C | R6 | 14,024,967.4980 | 11.93 | |||||||
COVINGTON KY 41015-1987 |
Schedule F-49
Name and Address of Shareholder | Class of Shares | Number of Outstanding Shares Beneficially Owned | Percentage of Outstanding Shares of Noted Class Owned | |||||||
MFS MID CAP VALUE FUND – continued | ||||||||||
STATE STREET BANK TRUST CO | R3 | 961,551.7410 | 5.07 | |||||||
TRUSTEE VARIOUS RETIREMENT PLANS | ||||||||||
440 MAMARONECK AVE | ||||||||||
HARRISON NY 10528-2418 | ||||||||||
PIMS/PRUDENTIAL RETIREMENT | R4 | 1,626,329.9470 | 6.40 | |||||||
AS NOMINEE FOR THE TTEE/CUST PL 767 | ||||||||||
THE MGM RESORTS 401(K) SAVINGS | ||||||||||
840 GRIER DRIVE | ||||||||||
LAS VEGAS NV 89119-3778 | ||||||||||
MFS GROWTH ALLOCATION FUND | R6 | 21,431,200.6160 | 18.23 | |||||||
2 AVENUE DE LAFAYETTE | ||||||||||
BOSTON MA 02111-1750 | ||||||||||
MFS MODERATE ALLOCATION FUND | R6 | 19,772,563.3780 | 16.82 | |||||||
2 AVENUE DE LAFAYETTE | ||||||||||
BOSTON MA 02111-1750 | ||||||||||
MFS AGGRESSIVE GROWTH ALLOCATION FUND | R6 | 7,722,405.9360 | 6.57 | |||||||
2 AVENUE DE LAFAYETTE | ||||||||||
BOSTON MA 02111-1750 | ||||||||||
MFS MISSISSIPPI MUNICIPAL BOND FUND | ||||||||||
MORGAN STANLEY SMITH BARNEY | A | 658,579.5630 | 7.30 | |||||||
HARBORSIDE FINANCIAL CENTER | ||||||||||
JERSEY CITY NJ 07311 | ||||||||||
PERSHING LLC | A | 569,036.5320 | 6.31 | |||||||
1 PERSHING PLZ | B | 21,791.4270 | 16.41 | |||||||
JERSEY CITY NJ 07399-0002 | I | 15,777.0640 | 5.04 | |||||||
MFS MODERATE ALLOCATION FUND | ||||||||||
PERSHING LLC | A | 13,479,415.8550 | 7.10 | |||||||
1 PERSHING PLZ | B | 2,944,156.6450 | 15.94 | |||||||
JERSEY CITY NJ 07399-0002 | C | 6,652,151.0390 | 8.62 | |||||||
I | 639,317.7430 | 7.01 | ||||||||
JAMES A JESSEE | I | 625,642.0040 | 6.86 | |||||||
111 HUNTINGTON AVE | ||||||||||
BOSTON MA 02199 | ||||||||||
EQUITABLE LIFE FOR SA #65 401(K) | R1 | 574,042.2530 | 26.28 | |||||||
500 PLAZA DR | ||||||||||
SECAUCUS NJ 07094-3619 | ||||||||||
VOYA RETIREMENT INS & ANNUITY CO | R2 | 2,949,139.9440 | 23.57 | |||||||
1 ORANGE WAY B3N | ||||||||||
WINDSOR CT 06095-4773 | ||||||||||
STATE STREET BANK TRUST CO | R4 | 937,979.8260 | 5.91 | |||||||
TRUSTEE VARIOUS RETIREMENT PLANS | ||||||||||
440 MAMARONECK AVE | ||||||||||
HARRISON NY 10528-2418 | ||||||||||
MASSMUTUAL | R4 | 2,101,542.8410 | 13.24 | |||||||
PO BOX 48529 | ||||||||||
ATLANTA GA 30362-1529 | ||||||||||
FIDELITY INVESTMENTS INSTITUTIONAL OPERATIONS CO INC | R4 | 3,315,792.8140 | 20.88 | |||||||
QUALIFIED EMPLOYEE PLANS 401K FINOPS-IC FUNDS | ||||||||||
100 MAGELLAN WAY # KW1C | ||||||||||
COVINGTON KY 41015-1987 |
Schedule F-50
Name and Address of Shareholder | Class of Shares | Number of Outstanding Shares Beneficially Owned | Percentage of Outstanding Shares of Noted Class Owned | |||||||
MFS MODERATE ALLOCATION FUND – continued | ||||||||||
GREAT-WEST TRUST COMPANY LLC TTEE F | R4 | 1,983,690.3940 | 12.49 | |||||||
EMPLOYEE BENEFITS CLIENTS 401K | ||||||||||
8515 E ORCHARD RD 2T2 | ||||||||||
GREENWOOD VLG CO 80111-5002 | ||||||||||
MFS MUNICIPAL HIGH INCOME FUND | ||||||||||
PERSHING LLC | A | 11,272,614.4710 | 5.02 | |||||||
1 PERSHING PLZ | B | 266,346.5450 | 7.77 | |||||||
JERSEY CITY NJ 07399-0002 | C | 2,950,630.8130 | 8.15 | |||||||
VALLEE & CO FBO VA | I | 10,822,216.6670 | 5.51 | |||||||
C/O BMO HARRIS BANK NA ATTN MF | ||||||||||
480 PILGRIM WAY, SUITE 1000 | ||||||||||
GREEN BAY WI 54304-5280 | ||||||||||
MFS MUNICIPAL INCOME FUND | ||||||||||
MORGAN STANLEY SMITH BARNEY | A1 | 3,560,649.9060 | 5.91 | |||||||
HARBORSIDE FINANCIAL CENTER | C | 1,236,702.5600 | 5.64 | |||||||
JERSEY CITY NJ 07311 | ||||||||||
PERSHING LLC | A1 | 3,143,742.6480 | 5.22 | |||||||
1 PERSHING PLZ | B | 362,573.7000 | 12.33 | |||||||
JERSEY CITY NJ 07399-0002 | B1 | 2,064.1480 | 9.52 | |||||||
C | 2,499,682.9110 | 11.40 | ||||||||
I | 5,197,119.1700 | 7.52 | ||||||||
RONALD M O DORNE & MARY L O DORNE JTWROS | B1 | 5,008.5910 | 23.10 | |||||||
350 CALLOWAY DR UNIT 214A | ||||||||||
BAKERSFIELD CA 93312-2994 | ||||||||||
ALLEN W WHIRLEY | B1 | 1,785.7400 | 8.24 | |||||||
706 NW 9TH ST | ||||||||||
GRAND RAPIDS MN 55744-2336 | ||||||||||
KATHLEEN A GANCY IRA | B1 | 1,334.4000 | 6.15 | |||||||
CJ THEATERS INC SIMPLE PLAN | ||||||||||
614 MOREWOOD AVE | ||||||||||
PITTSBURGH PA 15213-2910 | ||||||||||
FIONA ANTHONY PILLAI & DANIEL PFEIFER EXS | B1 | 1,301.7030 | 6.00 | |||||||
EST J MASSYNGBAERDE FORD | ||||||||||
53600 IRONWOOD RD | ||||||||||
SOUTH BEND IN 46635-1503 | ||||||||||
MFS MUNICIPAL LIMITED MATURITY FUND | ||||||||||
MORGAN STANLEY SMITH BARNEY | A | 5,954,687.1880 | 6.74 | |||||||
HARBORSIDE FINANCIAL CENTER | C | 1,386,352.8510 | 8.16 | |||||||
JERSEY CITY NJ 07311 | I | 9,878,318.0260 | 10.70 | |||||||
PERSHING LLC | A | 4,846,349.8640 | 5.48 | |||||||
1 PERSHING PLZ | B | 20,637.5340 | 10.11 | |||||||
JERSEY CITY NJ 07399-0002 | C | 858,248.2270 | 5.05 | |||||||
I | 9,651,133.7900 | 10.46 | ||||||||
MFS NEW DISCOVERY FUND | ||||||||||
DIANE G EMR | 529B | 764.6390 | 10.36 | |||||||
62 VENETIAN DR | ||||||||||
LK HOPATCONG NJ 07849-2220 |
Schedule F-51
Name and Address of Shareholder | Class of Shares | Number of Outstanding Shares Beneficially Owned | Percentage of Outstanding Shares of Noted Class Owned | |||||||
MFS NEW DISCOVERY FUND – continued | ||||||||||
PERSHING LLC | A | 1,092,239.5520 | 6.93 | |||||||
1 PERSHING PLZ | C | 362,570.7740 | 9.19 | |||||||
JERSEY CITY NJ 07399-0002 | ||||||||||
MORGAN STANLEY SMITH BARNEY | C | 311,621.8980 | 7.90 | |||||||
HARBORSIDE FINANCIAL CENTER | ||||||||||
JERSEY CITY NJ 07311 | ||||||||||
STRAFE & CO | I | 276,001.7080 | 6.63 | |||||||
FBO J S GUGGENHEIM MEM FDTN-FELLOW | ||||||||||
PO BOX 6924 | ||||||||||
NEWARK DE 19714-6924 | ||||||||||
HARTFORD LIFE INS CO | R2 | 561,042.8760 | 39.19 | |||||||
PO BOX 2999 | R3 | 608,182.0450 | 27.80 | |||||||
HARTFORD CT 06104-2999 | ||||||||||
MASS MUTUAL LIFE INSURANCE CO | R2 | 75,155.2860 | 5.25 | |||||||
1295 STATE ST | ||||||||||
SPRINGFIELD MA 01111-0001 | ||||||||||
LINCOLN RETIREMENT SERVICES COMPANY | R3 | 216,995.5790 | 9.92 | |||||||
FBO ADVENTIST HEALTHCARE 403B | ||||||||||
PO BOX 7876 | ||||||||||
FORT WAYNE IN 46801-7876 | ||||||||||
THE LINCOLN NATIONAL LIFE INSURANCE COMPANY | R3 | 166,596.0020 | 7.61 | |||||||
1300 S CLINTON ST | ||||||||||
FORT WAYNE IN 46802-3506 | ||||||||||
PIMS/PRUDENTIAL RETPLAN | R4 | 2,554,110.9820 | 77.91 | |||||||
NOMINEE TRUSTEE CUSTODIAN | ||||||||||
767 MGM RESORTS 401K SAVINGS PLAN | ||||||||||
4886 FRANK SINATRA DR | ||||||||||
LAS VEGAS NV 89158-4316 | ||||||||||
FIDELITY INVESTMENTS INSTITUTIONAL OPERATIONS CO INC | R4 | 167,157.7720 | 5.10 | |||||||
QUALIFIED EMPLOYEE PLANS 401K FINOPS-IC FUNDS | ||||||||||
100 MAGELLAN WAY # KW1C | ||||||||||
COVINGTON KY 41015-1987 | ||||||||||
MFS GROWTH ALLOCATION FUND | R6 | 3,821,108.3140 | 32.71 | |||||||
2 AVENUE DE LAFAYETTE | ||||||||||
BOSTON MA 02111-1750 | ||||||||||
MFS MODERATE ALLOCATION FUND | R6 | 3,393,497.7470 | 29.05 | |||||||
2 AVENUE DE LAFAYETTE | ||||||||||
BOSTON MA 02111-1750 | ||||||||||
MFS AGGRESSIVE GROWTH ALLOCATION FUND | R6 | 1,555,914.5710 | 13.32 | |||||||
2 AVENUE DE LAFAYETTE | ||||||||||
BOSTON MA 02111-1750 | ||||||||||
MFS CONSERVATIVE ALLOCATION FUND | R6 | 1,130,829.9870 | 9.68 | |||||||
2 AVENUE DE LAFAYETTE | ||||||||||
BOSTON MA 02111-1750 | ||||||||||
MFS NEW DISCOVERY VALUE FUND | ||||||||||
PERSHING LLC | B | 56,302.5960 | 20.47 | |||||||
1 PERSHING PLZ | I | 1,055,624.6500 | 10.75 | |||||||
JERSEY CITY NJ 07399-0002 |
Schedule F-52
Name and Address of Shareholder | Class of Shares | Number of Outstanding Shares Beneficially Owned | Percentage of Outstanding Shares of Noted Class Owned | |||||||
MFS NEW DISCOVERY VALUE FUND – continued | ||||||||||
MARIL & CO FBO JG | I | 983,857.5390 | 10.02 | |||||||
C/O BMO HARRIS BANK NA ATTN MF | ||||||||||
480 PILGRIM WAY STE 1000 | ||||||||||
GREEN BAY WI 54304-5280 | ||||||||||
BRAKEWELL STEEL FABRICATORS INC 4 | R1 | 4,912.0290 | 30.89 | |||||||
717 17TH ST STE 1300 | ||||||||||
DENVER CO 80202-3304 | ||||||||||
CENTRALIA SCHOOL DIST #401 | R1 | 1,293.4730 | 8.13 | |||||||
717 17TH ST STE 1300 | ||||||||||
DENVER CO 80202-3304 | ||||||||||
MASSACHUSETTS FINANCIAL SERVICES COMPANY | R1 | 4,191.4420 | 26.36 | |||||||
111 HUNTINGTON AVENUE | R2 | 4,114.8300 | 6.51 | |||||||
BOSTON MA 02199-7632 | R4 | 4,103.6870 | 5.18 | |||||||
CHIRON AMERICA, INC. | R2 | 11,088.0880 | 17.55 | |||||||
100 MAGELLAN WAY | ||||||||||
COVINGTON KY 41015-1999 | ||||||||||
MBR CONSTRUCTION 401(K) PS PLAN | R2 | 7,659.3930 | 12.12 | |||||||
100 MAGELLAN WAY | ||||||||||
COVINGTON KY 41015-1999 | ||||||||||
PHARMA SAFE 401(K) PLAN | R2 | 5,014.5100 | 7.94 | |||||||
100 MAGELLAN WAY | ||||||||||
COVINGTON KY 41015-1999 | ||||||||||
GREAT-WEST TRUST CO LLC | R3 | 111,561.9440 | 45.37 | |||||||
TRUSTEE F EMPLOYEE BENEFITS CLIENTS 401K | R4 | 45,135.2150 | 56.96 | |||||||
8515 E ORCHARD RD # 2T2 | ||||||||||
GREENWOOD VLG CO 80111-5002 | ||||||||||
EMJAY CORP TRUSTEE FBO | R4 | 23,473.1360 | 29.62 | |||||||
FASCORE LLC RETIREMENT PLANS | ||||||||||
8515 E ORCHARD RD # 2T2 | ||||||||||
GREENWOOD VLG CO 80111-5002 | ||||||||||
MFS GROWTH ALLOCATION FUND | R6 | 7,142,590.2190 | 34.90 | |||||||
2 AVENUE DE LAFAYETTE | ||||||||||
BOSTON MA 02111-1750 | ||||||||||
MFS MODERATE ALLOCATION FUND | R6 | 6,335,647.0290 | 30.96 | |||||||
2 AVENUE DE LAFAYETTE | ||||||||||
BOSTON MA 02111-1750 | ||||||||||
MFS AGGRESSIVE GROWTH ALLOCATION FUND | R6 | 2,919,836.8840 | 14.27 | |||||||
2 AVENUE DE LAFAYETTE | ||||||||||
BOSTON MA 02111-1750 | ||||||||||
MFS CONSERVATIVE ALLOC FUND | R6 | 2,096,916.8790 | 10.25 | |||||||
2 AVENUE DE LAFAYETTE | ||||||||||
BOSTON MA 02111-1750 | ||||||||||
MFS NEW YORK MUNICIPAL BOND FUND | ||||||||||
PERSHING LLC | A | 1,906,731.8730 | 16.54 | |||||||
1 PERSHING PLZ | B | 27,379.1850 | 5.33 | |||||||
JERSEY CITY NJ 07399-0002 | C | 275,893.9390 | 11.46 | |||||||
MORGAN STANLEY SMITH BARNEY | A | 1,048,819.4400 | 9.10 | |||||||
HARBORSIDE FINANCIAL CENTER | C | 169,805.3370 | 7.05 | |||||||
JERSEY CITY NJ 07311 |
Schedule F-53
Name and Address of Shareholder | Class of Shares | Number of Outstanding Shares Beneficially Owned | Percentage of Outstanding Shares of Noted Class Owned | |||||||
MFS NORTH CAROLINA MUNICIPAL BOND FUND | ||||||||||
MORGAN STANLEY SMITH BARNEY | A | 1,482,617.5030 | 6.35 | |||||||
HARBORSIDE FINANCIAL CENTER | B | 18,487.9980 | 5.99 | |||||||
JERSEY CITY NJ 07311 | C | 533,826.0310 | 10.34 | |||||||
PERSHING LLC | A | 1,444,010.3370 | 6.18 | |||||||
1 PERSHING PLZ | B | 38,867.2020 | 12.59 | |||||||
JERSEY CITY NJ 07399-0002 | C | 533,550.3960 | 10.34 | |||||||
MFS PENNSYLVANIA MUNICIPAL BOND FUND | ||||||||||
PERSHING LLC | A | 1,825,829.5500 | 17.47 | |||||||
1 PERSHING PLZ | B | 137,002.3440 | 27.68 | |||||||
JERSEY CITY NJ 07399-0002 | ||||||||||
FNB NOMINEE CO | I | 763,922.6370 | 64.68 | |||||||
C/O 1ST COMMONWEALTH TRUST CO | ||||||||||
614 PHILADELPHIA ST | ||||||||||
INDIANA PA 15701-3904 | ||||||||||
MFS RESEARCH FUND | ||||||||||
PERSHING LLC | B | 52,633.5050 | 8.03 | |||||||
1 PERSHING PLZ | C | 216,178.6660 | 5.74 | |||||||
JERSEY CITY NJ 07399-0002 | ||||||||||
MORGAN STANLEY SMITH BARNEY | C | 233,373.4130 | 6.20 | |||||||
HARBORSIDE FINANCIAL CENTER | ||||||||||
JERSEY CITY NJ 07311 | ||||||||||
MID ATLANTIC TRUST CO | R1 | 803.1180 | 10.09 | |||||||
1251 WATERFRONT PL STE 525 | ||||||||||
PITTSBURGH PA 15222-4228 | ||||||||||
VOYA RETIREMENT INS & ANNUITY CO | R2 | 281,441.7420 | 39.54 | |||||||
1 ORANGE WAY B3N | ||||||||||
WINDSOR CT 06095-4773 | ||||||||||
RELIANCE TRUST CO TTEE | R2 | 3,885.5590 | 21.64 | |||||||
FBO ADP ACCESS LARGE MARKET 401K | ||||||||||
1100 ABERNATHY RD | ||||||||||
ATLANTA GA 30328-5620 | ||||||||||
GREAT-WEST LIFE & ANNUITY | R3 | 386,109.3880 | 27.25 | |||||||
FBO FUTURE FUNDS II | ||||||||||
8515 E ORCHARD RD # 2T2 | ||||||||||
GREENWOOD VLG CO 80111-5002 | ||||||||||
VOYA INSTITUTIONAL TRUST COMPANY | R3 | 137,462.0650 | 9.70 | |||||||
1 ORANGE WAY B3N | ||||||||||
WINDSOR CT 06095-4773 | ||||||||||
NATIONWIDE TRUST COMPANY, FSB | R4 | 1,215,162.0120 | 81.88 | |||||||
C/O IPO ACCOUNTING | ||||||||||
PO BOX 182029 | ||||||||||
COLUMBUS OH 43218-2029 | ||||||||||
MFS MODERATE ALLOCATION FUND | R6 | 12,345,243.0550 | 36.0 | |||||||
ATTN: LCC 3RD FL MFS GRP | ||||||||||
2 AVENUE DE LAFAYETTE | ||||||||||
BOSTON MA 02111-1750 | 0 | |||||||||
MFS GROWTH ALLOCATION FUND | R6 | 10,381,005.3860 | 30.28 | |||||||
ATTN: LCC 3RD FL MFS GRP | ||||||||||
2 AVENUE DE LAFAYETTE | ||||||||||
BOSTON MA 02111-1750 |
Schedule F-54
Name and Address of Shareholder | Class of Shares | Number of Outstanding Shares Beneficially Owned | Percentage of Outstanding Shares of Noted Class Owned | |||||||
MFS RESEARCH FUND – continued | ||||||||||
MFS CONSERVATIVE ALLOC FUND | R6 | 4,635,209.8530 | 13.52 | |||||||
2 AVENUE DE LAFAYETTE | ||||||||||
BOSTON MA 02111-1750 | ||||||||||
MFS AGGRESSIVE GROWTH ALLOCATION FUND | R6 | 3,762,687.7450 | 10.97 | |||||||
2 AVENUE DE LAFAYETTE | ||||||||||
BOSTON MA 02111-1750 | ||||||||||
MFS RESEARCH INTERNATIONAL FUND | ||||||||||
ELAINE V HOWARD | 529B | 1,459.8390 | 9.41 | |||||||
3607 RUNNYMEDE CT | ||||||||||
OWENSBORO KY 42303-7819 | ||||||||||
PERSHING LLC | C | 329,605.0740 | 8.43 | |||||||
1 PERSHING PLZ | ||||||||||
JERSEY CITY NJ 07399-0002 | ||||||||||
MORGAN STANLEY SMITH BARNEY | C | 295,874.4710 | 7.57 | |||||||
HARBORSIDE FINANCIAL CENTER | ||||||||||
PLAZA 2 3RD FLOOR | ||||||||||
JERSEY CITY NJ 07311 | ||||||||||
MORI & CO | I | 16,006,021.6150 | 12.79 | |||||||
922 WALNUT ST | ||||||||||
KANSAS CITY MO 64106-1802 | ||||||||||
JOHN GILLIGAN FBO | R1 | 16,917.0300 | 10.87 | |||||||
FURNITURE SHOP 401K PSP & TRUST | ||||||||||
4259 S WESTERN BLVD | ||||||||||
CHICAGO IL 60609-2237 | ||||||||||
HARTFORD LIFE INS CO | R2 | 4,099,255.1380 | 43.32 | |||||||
PO BOX 2999 | R3 | 1,234,061.9780 | 16.99 | |||||||
HARTFORD CT 06104-2999 | ||||||||||
ADP ACCESS PRODUCT | R2 | 1,853,217.4430 | 19.59 | |||||||
1 LINCOLN ST | ||||||||||
BOSTON MA 02111-2900 | ||||||||||
FIDELITY INVESTMENTS INSTITUTIONAL OPERATIONS CO INC | R4 | 1,199,736.2710 | 15.86 | |||||||
QUALIFIED EMPLOYEE PLANS 401K FINOPS-IC FUNDS | ||||||||||
100 MAGELLAN WAY # KW1C | ||||||||||
COVINGTON KY 41015-1987 | ||||||||||
MFS INT’L DIVERSIFICATION FUND | R6 | 104,190,209.6680 | 58.27 | |||||||
ATTN: LCC 3RD FL MFS GRP | ||||||||||
2 AVENUE DE LAFAYETTE | ||||||||||
BOSTON MA 02111-1750 | ||||||||||
MFS MODERATE ALLOCATION FUND | R6 | 23,117,020.2000 | 12.93 | |||||||
ATTN: LCC 3RD FL MFS GRP | ||||||||||
2 AVENUE DE LAFAYETTE | ||||||||||
BOSTON MA 02111-1750 | ||||||||||
MFS GROWTH ALLOCATION FUND | R6 | 22,547,469.3700 | 12.61 | |||||||
ATTN: LCC 3RD FL MFS GRP | ||||||||||
2 AVENUE DE LAFAYETTE | ||||||||||
BOSTON MA 02111-1750 | ||||||||||
MFS SOUTH CAROLINA MUNICIAPAL BOND FUND | ||||||||||
MORGAN STANLEY SMITH BARNEY | A | 1,649,078.7920 | 11.46 | |||||||
HARBORSIDE FINANCIAL CENTER | ||||||||||
JERSEY CITY NJ 07311 |
Schedule F-55
Name and Address of Shareholder | Class of Shares | Number of Outstanding Shares Beneficially Owned | Percentage of Outstanding Shares of Noted Class Owned | |||||||
MFS SOUTH CAROLINA MUNICIAPAL BOND FUND – continued | ||||||||||
PERSHING LLC | B | 26,238.2140 | 7.84 | |||||||
1 PERSHING PLZ | ||||||||||
JERSEY CITY NJ 07399-0002 | ||||||||||
MFS STRATEGIC INCOME FUND | ||||||||||
PERSHING LLC | A | 2,454,586.3580 | 7.70 | |||||||
1 PERSHING PLZ | B | 749,339.9620 | 20.66 | |||||||
JERSEY CITY NJ 07399-0002 | C | 682,377.4200 | 11.61 | |||||||
MORGAN STANLEY SMITH BARNEY | C | 316,184.5550 | 5.38 | |||||||
HARBORSIDE FINANCIAL CENTER | ||||||||||
JERSEY CITY NJ 07311 | ||||||||||
MFS TECHNOLOGY FUND | ||||||||||
I | 313,315.5790 | 8.84 | ||||||||
PERSHING LLC | A | 786,600.0730 | 6.85 | |||||||
1 PERSHING PLZ | B | 113,719.7060 | 10.80 | |||||||
JERSEY CITY NJ 07399-0002 | C | 219,307.2530 | 7.18 | |||||||
MORGAN STANLEY SMITH BARNEY | I | 234,871.8010 | 6.63 | |||||||
HARBORSIDE FINANCIAL CENTER | ||||||||||
JERSEY CITY NJ 07311 | ||||||||||
EQUITABLE LIFE | R1 | 55,172.5830 | 47.87 | |||||||
500 PLAZA DR | ||||||||||
SECAUCUS NJ 07094-3619 | ||||||||||
MASSMUTUAL | R1 | 14,708.5110 | 12.76 | |||||||
PO BOX 48529 | R2 | 160,976.0260 | 24.63 | |||||||
ATLANTA GA 30362-1529 | R3 | 106,142.3180 | 12.11 | |||||||
PRECISION IT GROUP LLC 401K PSP & TRUST | R1 | 6,282.2320 | 5.45 | |||||||
1251 WATERFRONT PL STE 525 | ||||||||||
PITTSBURGH PA 15222-4228 | ||||||||||
VOYA RETIREMENT INS & ANNUITY CO | R2 | 119,992.7840 | 18.36 | |||||||
1 ORANGE WAY B3N | R6 | 370,445.4040 | 19.76 | |||||||
WINDSOR CT 06095-4773 | ||||||||||
HARTFORD LIFE INS CO | R2 | 47,866.1170 | 7.32 | |||||||
PO BOX 2999 | ||||||||||
HARTFORD CT 06104-2999 | ||||||||||
VERSABAR 401(K) PROFIT SHARING PLAN | R3 | 85,340.6640 | 9.73 | |||||||
100 MAGELLAN WAY | ||||||||||
COVINGTON KY 41015-1999 | ||||||||||
MANCHESTER SPORTS CENTER INC | R3 | 64,554.9920 | 7.36 | |||||||
401(K) PROFIT SHARING PLAN | ||||||||||
100 MAGELLAN WAY | ||||||||||
COVINGTON KY 41015-1999 | ||||||||||
DALLAS BASKETBALL LIMITED D.B.A. | R3 | 55,184.0590 | 6.29 | |||||||
DALLAS MAVERICKS | ||||||||||
100 MAGELLAN WAY | ||||||||||
COVINGTON KY 41015-1999 | ||||||||||
PIMS/PRUDENTIAL RETPLAN NOMINEE TRUSTEE CUSTODIAN | R3 | 110,247.4370 | 12.57 | |||||||
300 GRUNDFOS PUMPS CORPORATION | ||||||||||
2001 BUTTERFIELD RD STE 1700 | ||||||||||
DOWNERS GROVE IL 60515-1011 |
Schedule F-56
Name and Address of Shareholder | Class of Shares | Number of Outstanding Shares Beneficially Owned | Percentage of Outstanding Shares of Noted Class Owned | |||||||
MFS TECHNOLOGY FUND – continued | ||||||||||
ADP ACCESS PRODUCT | R3 | 51,509.7760 | 5.87 | |||||||
1 LINCOLN ST | ||||||||||
BOSTON MA 02111-2900 | ||||||||||
FIDELITY INVESTMENTS INSTITUTIONAL OPERATIONS CO INC | R4 | 76,204.9190 | 24.02 | |||||||
QUALIFIED EMPLOYEE PLANS (401K) FINOPS-IC FUNDS | ||||||||||
100 MAGELLAN WAY # KW1C | ||||||||||
COVINGTON KY 41015-1987 | ||||||||||
ADP ACCESS PRODUC | R4 | 50,774.2000 | 16.00 | |||||||
1 LINCOLN ST | ||||||||||
BOSTON MA 02111-2900 | ||||||||||
PIMS/PRUDENTIAL RETPLAN NOMINEE TRUSTEE CUSTODIAN | R4 | 21,510.6360 | 6.78 | |||||||
006 SAN DIEGO UNIFIED PORT DISTRICT | ||||||||||
3165 PACIFIC HWY | ||||||||||
SAN DIEGO CA 92101-1128 | ||||||||||
GREAT-WEST TRUST COMPANY LLC TTEE FBO | R4 | 19,074.2960 | 6.01 | |||||||
EMPLOYEE BENEFITS CLIENTS 401K | ||||||||||
8515 E ORCHARD RD 2T2 | ||||||||||
GREENWOOD VLG CO 80111-5002 | ||||||||||
MFS TENNESSEE MUNICIPAL BOND FUND | ||||||||||
PERSHING LLC | A | 1,177,154.9050 | 11.81 | |||||||
1 PERSHING PLZ | B | 18,140.3730 | 13.12 | |||||||
JERSEY CITY NJ 07399-0002 | ||||||||||
MFS TOTAL RETURN BOND FUND | ||||||||||
KEVIN A CONN | 529A | 37,364.3430 | 13.32 | |||||||
230 MOUNT VERNON ST | ||||||||||
WEST NEWTON MA 02465-2519 | ||||||||||
MICHELLE G RAJOTTE | 529B | 2,654.6620 | 9.13 | |||||||
8717 DOWD CT | ||||||||||
WASHINGTON TOWNSHIP OH 45458-2957 | ||||||||||
CAROL A MAGRUDER | 529B | 2,507.3910 | 8.63 | |||||||
1300 NE 16TH AVE APT 408 | ||||||||||
PORTLAND OR 97232-4428 | ||||||||||
MACKENZIE K HARDER | 529B | 1,137.9210 | 7.83 | |||||||
6880 LEIBINGER LN | ||||||||||
GRANITE BAY CA 95746-9364 | ||||||||||
SCOTT R MILLER | 529B | 1,617.3950 | 5.56 | |||||||
331 E FREMONT DR | ||||||||||
TEMPE AZ 85282-6933 | ||||||||||
AMY E SPENCER | 529B | 1,558.5190 | 5.36 | |||||||
3688 DONALD AVE | ||||||||||
RIVERSIDE CA 92503-4343 | ||||||||||
SHELINA SOEURS LLC CORPORATION | 529B | 746.1450 | 5.12 | |||||||
JAY E STEMPEL | ||||||||||
PO BOX 660 | ||||||||||
GLOUCESTER MA 01931-0660 | ||||||||||
PERSHING LLC | B | 157,710.9540 | 6.04 | |||||||
1 PERSHING PLZ | C | 2,043,269.4580 | 14.37 | |||||||
JERSEY CITY NJ 07399-0002 |
Schedule F-57
Name and Address of Shareholder | Class of Shares | Number of Outstanding Shares Beneficially Owned | Percentage of Outstanding Shares of Noted Class Owned | |||||||
MFS TOTAL RETURN BOND FUND – continued | ||||||||||
MASSMUTUAL | R1 | 154,772.2600 | 54.64 | |||||||
PO BOX 48529 | ||||||||||
ATLANTA GA 30362-1529 | ||||||||||
MLS INC 401(K) PROFIT SHARING PLAN | R1 | 15,132.6120 | 5.34 | |||||||
1251 WATERFRONT PL STE 525 | ||||||||||
PITTSBURGH PA 15222-4228 | ||||||||||
HARTFORD LIFE INSURANCE COMPANY | R2 | 2,215,641.8880 | 48.27 | |||||||
SEPARATE ACCOUNT 401K PLAN | ||||||||||
PO BOX 2999 | ||||||||||
HARTFORD CT 06104-2999 | ||||||||||
MASSMUTUAL | R2 | 980,873.3580 | 21.37 | |||||||
PO BOX 48529 | R3 | 1,826,663.9320 | 21.37 | |||||||
ATLANTA GA 30362-1529 | ||||||||||
RELIANCE TRUST CO FBO | R3 | 57,662.4900 | 25.26 | |||||||
RETIREMENT PLANS SERVICED BY METLIF | ||||||||||
C/O FASCORE LLC | ||||||||||
8515 E ORCHARD RD # 2T2 | ||||||||||
GREENWOOD VLG CO 80111-5002 | ||||||||||
HARTFORD LIFE INSURANCE COMPANY | R3 | 1,633,692.7340 | 19.11 | |||||||
SEPARATE ACCOUNT | ||||||||||
ATTN UIT OPERATIONS | ||||||||||
PO BOX 2999 | ||||||||||
HARTFORD CT 06104-2999 | ||||||||||
TAYNIK & CO | R3 | 1,125,600.6990 | 13.17 | |||||||
CO STATE STREET BANK & TRUST | ||||||||||
1200 CROWN COLONY DR | ||||||||||
QUINCY MA 02169-0938 | ||||||||||
MATRIX TRUST COMPANY TRUSTEE FBO | R3 | 543,042.7670 | 6.35 | |||||||
BROWN RUDNICK LLP 401K PLAN | ||||||||||
PO BOX 52129 | ||||||||||
PHOENIX AZ 85072-2129 | ||||||||||
ADP ACCESS PRODUCT | R3 | 501,962.5000 | 5.87 | |||||||
1 LINCOLN ST | ||||||||||
BOSTON MA 02111-2900 | ||||||||||
JOHN HANCOCK TRUST COMPANY LLC | R4 | 2,140,927.1470 | 19.07 | |||||||
690 CANTON ST STE 100 | ||||||||||
WESTWOOD MA 02090-2324 | ||||||||||
DWS TRUST CO TTEE | R4 | 787,826.8950 | 8.51 | |||||||
FBO COMBE INC EMPLOYEES SAVINGS PLN | ||||||||||
ATTN SHARE RECON DEPT #061241 | ||||||||||
PO BOX 1757 | ||||||||||
SALEM NH 03079-1143 | ||||||||||
MFS MODERATE ALLOCATION FUND | R6 | 44,187,156.6290 | 33.34 | |||||||
ATTN: LCC 3RD FL MFS GRP | ||||||||||
2 AVENUE DE LAFAYETTE | ||||||||||
BOSTON MA 02111-1750 | ||||||||||
MFS CONSERVATIVE ALLOC FUND | R6 | 41,894,379.7520 | 31.61 | |||||||
ATTN: LCC 3RD FL MFS GRP | ||||||||||
2 AVENUE DE LAFAYETTE | ||||||||||
BOSTON MA 02111-1750 |
Schedule F-58
Name and Address of Shareholder | Class of Shares | Number of Outstanding Shares Beneficially Owned | Percentage of Outstanding Shares of Noted Class Owned | |||||||
MFS TOTAL RETURN BOND FUND – continued | ||||||||||
MFS GROWTH ALLOCATION FUND | R6 | 13,799,478.1490 | 10.41 | |||||||
ATTN: LCC 3RD FL MFS GRP | ||||||||||
2 AVENUE DE LAFAYETTE | ||||||||||
BOSTON MA 02111-1750 | ||||||||||
MFS LIFETIME INCOME FUND | R6 | 11,731,146.0690 | 8.85 | |||||||
ATTN: LCC 3RD FL MFS GRP | ||||||||||
2 AVENUE DE LAFAYETTE | ||||||||||
BOSTON MA 02111-1750 | ||||||||||
MFS TOTAL RETURN FUND | ||||||||||
PERSHING LLC | A | 17,044,720.8350 | 6.60 | |||||||
1 PERSHING PLZ | B | 1,105,394.3910 | 10.02 | |||||||
JERSEY CITY NJ 07399-0002 | C | 5,938,129.3910 | 9.96 | |||||||
MORGAN STANLEY SMITH BARNEY | C | 3,421,020.5370 | 5.74 | |||||||
HARBORSIDE FINANCIAL CENTER | I | 2,144,532.1390 | 10.29 | |||||||
JERSEY CITY NJ 07311 | ||||||||||
MASSMUTUAL | R1 | 511,531.0140 | 68.15 | |||||||
PO BOX 48529 | R2 | 2,406,786.7740 | 21.59 | |||||||
ATLANTA GA 30362-1529 | R3 | 2,674,220.8360 | 16.35 | |||||||
R4 | 6,221,071.1000 | 38.70 | ||||||||
EQUITABLE LIFE | R1 | 45,443.3210 | 6.05 | |||||||
500 PLAZA DR | ||||||||||
SECAUCUS NJ 07094-3619 | ||||||||||
HARTFORD LIFE INSURANCE COMPANY | R2 | 3,474,210.1180 | 31.17 | |||||||
SEPARATE ACCOUNT | R3 | 1,486,536.4880 | 9.09 | |||||||
PO BOX 2999 | ||||||||||
HARTFORD CT 06104-2999 | ||||||||||
MASS MUTUAL LIFE INSURANCE CO | R2 | 1,323,141.3230 | 11.87 | |||||||
1295 STATE ST | R3 | 1,610,582.2300 | 9.85 | |||||||
SPRINGFIELD MA 01111-0001 | ||||||||||
ADP ACCESS PRODUCT | R2 | 887,111.4590 | 7.96 | |||||||
1 LINCOLN ST | ||||||||||
BOSTON MA 02111-2900 | ||||||||||
TAYNIK & CO | R3 | 1,102,215.0840 | 6.74 | |||||||
CO STATE STREET BANK & TRUST | ||||||||||
1200 CROWN COLONY DR | ||||||||||
QUINCY MA 02169-0938 | ||||||||||
LINCOLN RETPLAN SERVICES COMPANY | R6 | 619,479.8400 | 12.43 | |||||||
FBO FREEMAN HEALTH SYSTEM | ||||||||||
PO BOX 7876 | ||||||||||
FORT WAYNE IN 46801-7876 | ||||||||||
PIMS/PRUDENTIAL RETIREMENT | R6 | 818,439.1350 | 8.35 | |||||||
AS NOMINEE FOR THE TTEE/CUST PL 005 | ||||||||||
ROBERT WOOD JOHNSON HOSPITAL | ||||||||||
379 CAMPUS DRIVE | ||||||||||
SOMERSET NJ 08873-1161 | ||||||||||
GREAT-WEST TRUST CO LLC | R6 | 710,236.6130 | 7.29 | |||||||
TRUSTEE F EMPLOYEE BENEFITS CLIENTS 401K | ||||||||||
8515 E ORCHARD RD # 2T2 | ||||||||||
GREENWOOD VLG CO 80111-5002 |
Schedule F-59
Name and Address of Shareholder | Class of Shares | Number of Outstanding Shares Beneficially Owned | Percentage of Outstanding Shares of Noted Class Owned | |||||||
MFS TOTAL RETURN FUND – continued | ||||||||||
VOYA RETIREMENT INS & ANNUITY CO | R6 | 683,133.8710 | 6.97 | |||||||
1 ORANGE WAY B3N | ||||||||||
WINDSOR CT 06095-4773 | ||||||||||
MFS U.S. GOVERNMENT MONEY MARKET FUND*** | N/A | N/A | N/A | |||||||
MFS U.S. GOVERNMENT CASH RESERVE FUND | ||||||||||
MASSMUTUAL | A | 14,399,781.8880 | 11.01 | |||||||
PO BOX 48529 | ||||||||||
ATLANTA GA 30362-1529 | ||||||||||
AMY S MCMEEKIN | 529B | 41,725.3800 | 10.42 | |||||||
1497 DOYLE RD | ||||||||||
CEDARTOWN GA 30125-6649 | ||||||||||
ANDREW E WRIGHT | 529B | 16,619.9800 | 7.30 | |||||||
2255 COUNTY ROAD 30 | ||||||||||
COLLINSVILLE AL 35961-4274 | ||||||||||
ANGELA DERIGGS-WALTERS | 529B | 27,279.7050 | 6.82 | |||||||
30 FENDALE AVE APT 2 | ||||||||||
DORCHESTR CTR MA 02124-4618 | ||||||||||
KENT SCHUELE | 529B | 23,468.3200 | 5.86 | |||||||
1967 PROVIDENCE RD | ||||||||||
SEVIERVILLE TN 37876-0807 | ||||||||||
LOURDES M VILLANUEVA | 529B | 22,609.5170 | 5.65 | |||||||
22845 BAYWOOD DR | ||||||||||
CARSON CA 90745-4753 | ||||||||||
PETER MURPHY | 529B | 20,893.8070 | 5.22 | |||||||
856 ARMORY ST | ||||||||||
SPRINGFIELD MA 01107-1347 | ||||||||||
EDWARD D JONES & CO | 529C | 398,888.3180 | 5.44 | |||||||
12555 MANCHESTER RD | ||||||||||
SAINT LOUIS MO 63131-3729 | ||||||||||
PERSHING LLC | B | 6,222,125.1580 | 26.38 | |||||||
1 PERSHING PLZ | C | 3,884,046.4430 | 7.73 | |||||||
JERSEY CITY NJ 07399-0002 | ||||||||||
MASSMUTUAL | R1 | 11,908,452.5850 | 91.20 | |||||||
PO BOX 48529 | R2 | 50,899,905.3650 | 93.46 | |||||||
ATLANTA GA 30362-1529 | R3 | 36,602,757.6010 | 98.23 | |||||||
MASSACHUSETTS FINANCIAL SERVICES CO | R43 | 2,600,001.0000 | 84.22 | |||||||
111 HUNTINGTON AVENUE | ||||||||||
BOSTON MA 02199-7632 | ||||||||||
COUNSEL TRUST DBA MATC FBO | R45 | 397,672.2400 | 12.88 | |||||||
CHROME HEARTS LLC 401K PSP & TRUST | ||||||||||
1251 WATERFRONT PL STE 525 | ||||||||||
PITTSBURGH PA 15222-4228 | ||||||||||
MFS UTILITIES FUND | ||||||||||
PERSHING LLC | A | 12,914,672.3380 | 10.05 | |||||||
1 PERSHING PLZ | B | 1,107,087.8830 | 10.74 | |||||||
JERSEY CITY NJ 07399-0002 | C | 4,443,319.6750 | 11.11 | |||||||
I | 3,116,159.9270 | 11.44 |
Schedule F-60
Name and Address of Shareholder | Class of Shares | Number of Outstanding Shares Beneficially Owned | Percentage of Outstanding Shares of Noted Class Owned | |||||||
MFS UTILITIES FUND – continued | ||||||||||
MORGAN STANLEY SMITH BARNEY | B | 1,686,152.3580 | 16.36 | |||||||
HARBORSIDE FINANCIAL CENTER | C | 6,527,421.1490 | 16.33 | |||||||
JERSEY CITY NJ 07311 | I | 6,388,741.1390 | 23.46 | |||||||
MASSMUTUAL | R1 | 169,487.2510 | 31.09 | |||||||
PO BOX 48529 | R2 | 836,423.1700 | 17.55 | |||||||
ATLANTA GA 30362-1529 | R3 | 696,913.1510 | 11.13 | |||||||
EQUITABLE LIFE FOR SA #65 401(K) | R1 | 82,116.1870 | 15.06 | |||||||
500 PLAZA DR | ||||||||||
SECAUCUS NJ 07094-3619 | ||||||||||
NATIONWIDE TRUST COMPANY, FSB | R1 | 37,169.1040 | 6.82 | |||||||
C/O IPO PORTFOLIO ACCOUNTING | R4 | 392,995.4520 | 8.31 | |||||||
PO BOX 182029 | ||||||||||
COLUMBUS OH 43218-2029 | ||||||||||
MASS MUTUAL LIFE INSURANCE CO | R1 | 28,938.8800 | 5.31 | |||||||
1295 STATE ST | R2 | 494,751.5080 | 10.11 | |||||||
SPRINGFIELD MA 01111-0001 | R3 | 409,557.6630 | 6.54 | |||||||
AMERICAN UNITED LIFE GROUP RETIREMENT ANNUITY | R2 | 244,965.0650 | 5.00 | |||||||
PO BOX 368 | ||||||||||
INDIANAPOLIS IN 46206-0368 | ||||||||||
HARTFORD LIFE INSURANCE COMPANY | R3 | 1,127,561.4920 | 18.01 | |||||||
SEPARATE ACCOUNT | R4 | 393,310.6240 | 8.32 | |||||||
PO BOX 2999 | ||||||||||
HARTFORD CT 06104-2999 | ||||||||||
TRANSAMERICA LIFE INS COMPANY | R3 | 380,975.5720 | 13.15 | |||||||
1150 S OLIVE ST | ||||||||||
LOS ANGELES CA 90015-2211 | ||||||||||
TAYNIK & CO | R3 | 501,017.7180 | 8.00 | |||||||
CO STATE STREET BANK & TRUST | R4 | 953,032.8800 | 20.15 | |||||||
1200 CROWN COLONY DR | R6 | 1,028,232.4590 | 21.49 | |||||||
QUINCY MA 02169-0938 | ||||||||||
VANGUARD FIDUCIARY TRUST CO | R6 | 542,254.7980 | 11.34 | |||||||
PO BOX 2600 VM 613 | ||||||||||
VALLEY FORGE PA 19482-2600 | ||||||||||
VOYA RETIREMENT INS & ANNUITY CO | R6 | 383,000.9020 | 8.01 | |||||||
1 ORANGE WAY B3N | ||||||||||
WINDSOR CT 06095-4773 | ||||||||||
WELLS FARGO BNAK NA TRUSTEE | R6 | 246,621.7060 | 5.16 | |||||||
KERN COUNTY DEFFDCOMP PLAN | ||||||||||
8515 E ORCHARD RD # 2T2 | ||||||||||
GREENWOOD VLG CO 80111-5002 | ||||||||||
MFS VALUE FUND | ||||||||||
KENT P ELLIOTT | 529B | 1,634.9830 | 6.57 | |||||||
2027 SHIPWAY LN | ||||||||||
NEWPORT BEACH CA 92660-4334 | ||||||||||
SUE SHINOMIYA | 529B | 1,381.7650 | 5.55 | |||||||
5349 NW LIANNA WAY | ||||||||||
PORTLAND OR 97229-8971 | ||||||||||
PERSHING LLC | C | 2,959,380.1700 | 6.98 | |||||||
1 PERSHING PLZ | I | 81,058,025.9020 | 16.65 | |||||||
JERSEY CITY NJ 07399-0002 |
Schedule F-61
Name and Address of Shareholder | Class of Shares | Number of Outstanding Shares Beneficially Owned | Percentage of Outstanding Shares of Noted Class Owned | |||||||
MFS VALUE FUND – continued | ||||||||||
MASSMUTUAL | R1 | 192,094.8150 | 26.59 | |||||||
PO BOX 48529 | R2 | 1,260,111.0310 | 8.49 | |||||||
ATLANTA GA 30362-1529 | ||||||||||
HARTFORD LIFE INSURANCE COMPANY | R2 | 2,500,674.0790 | 15.36 | |||||||
SEPARATE ACCOUNT | ||||||||||
1 GRIFFIN ROAD NORTH | ||||||||||
WINDSOR CT 06095-1512 | ||||||||||
VOYA RETIREMENT INS & ANNUITY CO | R2 | 2,193,657.2700 | 13.47 | |||||||
1 ORANGE WAY B3N | ||||||||||
WINDSOR CT 06095-4773 | ||||||||||
ADP ACCESS PRODUCT | R2 | 1,886,188.8680 | 11.59 | |||||||
1 LINCOLN ST | ||||||||||
BOSTON MA 02111-2900 | ||||||||||
MASS MUTUAL LIFE INSURANCE CO | R2 | 1,027,441.3750 | 6.31 | |||||||
1295 STATE ST | ||||||||||
SPRINGFIELD MA 01111-0001 | ||||||||||
FIDELITY INVESTMENTS INSTITUTIONAL OPERATIONS CO INC | R3 | 5,166,492.5820 | 9.75 | |||||||
QUALIFIED EMPLOYEE PLANS 401K FINOPS-IC FUNDS | R4 | 21,541,050.8650 | 24.19 | |||||||
100 MAGELLAN WAY # KW1C | ||||||||||
COVINGTON KY 41015-1987 | ||||||||||
STATE STREET BANK TRUST CO TTEE VARIOUS RETIREMENT PLANS | R3 | 5,023,050.9470 | 9.48 | |||||||
440 MAMARONECK AVE | R4 | 6,037,371.8400 | 6.78 | |||||||
HARRISON NY 10528-2418 | ||||||||||
MFS GROWTH ALLOCATION FUND | R6 | 15,417,781.9690 | 8.83 | |||||||
2 AVENUE DE LAFAYETTE | ||||||||||
BOSTON MA 02111-1750 | ||||||||||
MFS MODERATE ALLOCATION FUND | R6 | 13,328,406.9100 | 7.63 | |||||||
2 AVENUE DE LAFAYETTE | ||||||||||
BOSTON MA 02111-1750 | ||||||||||
MFS VIRGINIA MUNICIPAL BOND FUND | ||||||||||
MORGAN STANLEY SMITH BARNEY | B | 14,787.6720 | 15.49 | |||||||
HARBORSIDE FINANCIAL CENTER | C | 274,663.5160 | 11.31 | |||||||
PLAZA 2 3RD FLOOR | ||||||||||
JERSEY CITY NJ 07311 | ||||||||||
EMILY M ALLAN | B | 5,391.3860 | 5.65 | |||||||
7408 SPRING VILLAGE DR APT 322 | ||||||||||
SPRINGFIELD VA 22150-4491 | ||||||||||
PERSHING LLC | C | 160,116.1960 | 6.60 | |||||||
1 PERSHING PLZ | ||||||||||
JERSEY CITY NJ 07399-0002 | ||||||||||
NATIONAL FINANCIAL SERVICES LLC | C | 153,158.5260 | 6.31 | |||||||
499 WASHINGTON BLVD | ||||||||||
ATTN MUTUAL FUND DEPT 4TH FLOOR | ||||||||||
JERSEY CITY NJ 07310-2010 | ||||||||||
MFS WEST VIRGINIA MUNICIPAL BOND FUND | ||||||||||
MORGAN STANLEY SMITH BARNEY | A | 626,381.2670 | 6.14 | |||||||
HARBORSIDE FINANCIAL CENTER | ||||||||||
PLAZA 2 3RD FLOOR | ||||||||||
JERSEY CITY NJ 07311 |
Schedule F-62
Name and Address of Shareholder | Class of Shares | Number of Outstanding Shares Beneficially Owned | Percentage of Outstanding Shares of Noted Class Owned | |||||||
MFS WEST VIRGINIA MUNICIPAL BOND FUND – continued | ||||||||||
PERSHING LLC | B | 22,428.7540 | 27.42 | |||||||
1 PERSHING PLZ | ||||||||||
JERSEY CITY NJ 07399-0002 |
* | Information for the MFS Lifetime 2060 Fund has not been provided because it commenced investment operations after November 30, 2016. |
** | The fund only has one class of shares. |
*** | To the best of the fund’s knowledge, no shareholder beneficially owned more than 5% of any class of the fund as of November 30, 2016. |
Schedule F-63
MULTI-PRX-1/17 |
EVERY SHAREHOLDER’S VOTE IS IMPORTANT!
EASY VOTING OPTIONS: | ||||
VOTE ON THE INTERNET Log on to: www.proxy-direct.com or scan the QR code Follow the on-screen instructions available 24 hours (until 10:00 a.m. Eastern Time on March 23, 2017) | ||||
VOTE BY TELEPHONE Call toll free: 1-800-337-3503 Follow the recorded instructions available 24 hours (until 10:00 a.m. Eastern Time onMarch 23, 2017) | ||||
VOTE BY MAIL Vote, sign and date this Proxy Card and return it in the postage-paid envelope (must be received by 10:00 a.m. Eastern Time onMarch 23, 2017) | ||||
VOTE IN PERSON Attend Shareholder Meeting 111 Huntington Avenue, Boston,MA 02199 on March 23, 2017 |
Please detach at perforation before mailing.
MFS® SERIES TRUST I, II, III, IV, V, VI, VII, VIII, IX, X, XI, XII, XIII, XV, XVI
MFS® MUNICIPAL SERIES TRUST MFS® INSTITUTIONAL TRUST MASSACHUSETTS INVESTORS GROWTH STOCK FUND
MASSACHUSETTS INVESTORS TRUST
SPECIAL MEETING OF SHAREHOLDERS TO BE HELD ON MARCH 23, 2017
This proxy is solicited by and on behalf of the Board of Trustees of each Trust.
The undersigned hereby appoints Christopher R. Bohane, Thomas H. Connors, Brian E. Langenfeld, Susan A. Pereira and Matthew A. Stowe and each of them separately, proxies, with power of substitution to each, and hereby authorizes each of them to represent, and to vote, as designated on the reverse side, at the Special Meeting of Shareholders of the Trusts, to be held at 111 Huntington Avenue, Boston, Massachusetts, on Thursday, March 23, 2017 at 10:30 a.m., Eastern Time, and at any adjournments thereof, all of the common shares of each series of the Trust that the undersigned would be entitled to vote if personally present. Only the Trust’s shareholders of record on January 6, 2017 will be entitled to vote at the Trust’s Special Meeting of Shareholders.
THIS PROXY WHEN PROPERLY EXECUTED WILL BE VOTED IN THE MANNER DIRECTED HEREIN BY THE SIGNING SHAREHOLDER. IF NO DIRECTION IS MADE, THIS PROXY WILL BE VOTEDFOR THE PROPOSAL. IF ANY NOMINEE FOR TRUSTEE IS UNABLE TO SERVE OR FOR GOOD CAUSE WILL NOT SERVE, THE PROXIES ARE AUTHORIZED IN THEIR DISCRETION TO VOTE FOR THE ELECTION OF ANY OTHER PERSON IN PLACE OF SUCH NOMINEE. IN THEIR DISCRETION, THE PROXIES ARE AUTHORIZED TO VOTE UPON SUCH OTHER MATTERS AS MAY PROPERLY COME BEFORE THE MEETING OR ANY ADJOURNMENTS THEREOF.
YOUR VOTE IS IMPORTANT. WE WOULD APPRECIATE YOUR PROMPTLY VOTING, SIGNING AND RETURNING THE ENCLOSED PROXY CARD, WHICH WILL HELP AVOID THE ADDITIONAL EXPENSE OF A SECOND SOLICITATION FOR YOUR TRUST. THE ENCLOSED ADDRESSED ENVELOPE REQUIRES NO POSTAGE AND IS PROVIDED FOR YOUR CONVENIENCE.
VOTE VIA THE INTERNET: www.proxy-direct.com VOTE VIA THE TELEPHONE: 1-800-337-3503 | ||||
MFS_28421_012417
EVERY SHAREHOLDER’S VOTE IS IMPORTANT
Important Notice Regarding the Availability of Proxy Materials for the MFS
Special Meeting of Shareholders to Be Held on March 23, 2017.
The Proxy Statement and Proxy Card for this meeting is available at
https://www.proxy-direct.com/mfs-28421
IF YOU VOTE ON THE INTERNET OR BY TELEPHONE,
YOU NEED NOT RETURN THIS PROXY CARD
FUNDS | FUNDS | FUNDS | ||
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Fundname Drop-In 10 | Fundname Drop-In 11 | Fundname Drop-In 12 | ||
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Fundname Drop-In 25 | Fundname Drop-In 26 | Fundname Drop-In 27 | ||
Fundname Drop-In 28 | Fundname Drop-In 29 | Fundname Drop-In 30 |
Please detach at perforation before mailing.
TO VOTE, MARK BLOCKS BELOW IN BLUE OR BLACK INK AS SHOWN IN THIS Example:☒
Proposals THE TRUSTEES THAT OVERSEE YOUR FUND RECOMMEND THAT YOU VOTE IN FAVOR OF PROPOSAL 1.
| +
|
1. Election of Trustees. | | FOR ALL | | | WITHHOLD ALL | | | FOR ALL EXCEPT | | |||||||||
01. Steven E. Buller | 02. John A. Caroselli | 03. Maureen R. Goldfarb | 04. David H. Gunning | ☐ | ☐ | ☐ | ||||||||||||
05. Michael Hegarty | 06. John P. Kavanaugh | 07. Robert J. Manning | 08. Clarence Otis, Jr. | |||||||||||||||
09. Maryanne L. Roepke | 10. Robin A. Stelmach | 11. Laurie J. Thomsen |
To withhold authority to vote for any individual nominee(s), mark the box “FOR ALL EXCEPT” and write the nominee’s number on the line provided below.
2. To transact such other business as may properly come before the Meeting and any adjournment(s) or postponement(s) thereof.
Authorized Signatures — This section must be completed for your vote to be counted. — Sign and Date Below
|
Date (mm/dd/yyyy) – Please print date below | Signature 1 – Please keep signature within the box | Signature 2 – Please keep signature within the box | ||||||||
/ / |
608999900109999999999
MFS FUNDS
IMPORTANT PROXY INFORMATION
Your Vote Counts!
PLEASE USE THE 14-DIGIT CONTROL NUMBER & 8-DIGIT SECURITY CODE LISTED IN THE BOXESBELOW WHEN REQUESTING MATERIAL VIA THE TELEPHONE & INTERNET.When you are ready to vote, you can use the same Control Number & Security Code to record your vote. | ||||||||
Shareholder Meeting Notice – THIS IS NOT A PROXY – Please read carefully for voting instructions. |
Important Notice Regarding the Availability of Proxy Materials for the MFS Funds Special Meeting of Shareholders to Be Held on March 23, 2017. |
As a shareholder, it is important for you to vote!
On the back of this Notice, you will find a summary of the proposal that requires a shareholder vote at the Meeting.
This communication is NOT a form for voting and presents only an overview of the more complete proxy materials that are available to you on the Internet or by mail. We encourage you to access and review all of the important information contained in the proxy materials before voting.
The Notice of Special Meeting of Shareholders, the Proxy Statement for the Meeting and the Form of Proxy Card are available at:
https://www.proxy-direct.com/mfs-28421
If you want to receive a paper copy of the proxy materials or an email with a link to the proxy materials, you must request them. There is no charge to you for requesting a copy. Paper materials will be mailed to the address on file within three business days of receipt of the request. Please make your request as soon as possible, but no later than March 13, 2017, to facilitate timely delivery. The Special Meeting of Shareholders of MFS Funds will be held on March 23, 2017, at 10:30 a.m., EST, at the offices of each MFS Fund, 111 Huntington Avenue, Boston, MA 02199. To obtain directions to be able to attend the Meeting and vote in person, call 1-800-255-2606.
ONLINE MATERIAL ACCESS AND PAPER COPY REQUESTS CAN BE MADE UTILIZING ONE OF THE THREE METHODS BELOW.
YOU CAN ALSO USE ONE OF THESE THREE METHODS TO ELECT A PERMANENT DELIVERY PREFERENCE FOR FUTURE MEETINGS.
ACCESS MATERIALS AND VOTE OR REQUEST PAPER DELIVERY OF MATERIALS |
EASY ONLINE ACCESS –REQUEST BY INTERNET
Log on to the Internet and go to:https://www.proxy-direct.com/mfs-28421 On this site you can view the Proxy Statement and Form of Proxy Card online, request paper copies, request an email with a link to the materials and/or set future delivery preferences. Just follow the steps outlined on this secure website. | ||||||
TELEPHONE REQUESTS - CALL 1-877-816-5331 Obtain paper copies of the Proxy Statement and/or Form of Proxy Card with an option to set future delivery preference by touch tone phone. Call toll free from the U.S. atNO CHARGEto you. Follow the instructions provided in the recorded messages. | E-MAIL REQUEST AT: proxymaterials@computershare.com: Email us to request Proxy Materials for the Shareholder Meeting and/or to set future delivery preferences. - Provide only your14-Digit Control Number and8-Digit Security Code as listed on this Notice in your email request for materials. - If you want to elect to receive all future proxy materials in paper form or via email, please note your request and for email, provide the address. |
PAPER COPY REQUESTS SHOULD BE MADE NO LATER THAN MARCH 13, 2017, TO FACILITATE TIMELY DELIVERY. |
MFS_28421_NA_012417
Your Fund Holdings:
FUNDS | FUNDS | FUNDS | ||
Fundname Drop-In 1 | Fundname Drop-In 2 | Fundname Drop-In 3 | ||
Fundname Drop-In 4 | Fundname Drop-In 5 | Fundname Drop-In 6 | ||
Fundname Drop-In 7 | Fundname Drop-In 8 | Fundname Drop-In 9 | ||
Fundname Drop-In 10 | Fundname Drop-In 11 | Fundname Drop-In 12 | ||
Fundname Drop-In 13 | Fundname Drop-In 14 | Fundname Drop-In 15 | ||
Fundname Drop-In 16 | Fundname Drop-In 17 | Fundname Drop-In 18 | ||
Fundname Drop-In 19 | Fundname Drop-In 20 | Fundname Drop-In 21 | ||
Fundname Drop-In 22 | Fundname Drop-In 23 | Fundname Drop-In 24 | ||
Fundname Drop-In 25 | Fundname Drop-In 26 | Fundname Drop-In 27 | ||
Fundname Drop-In 28 | Fundname Drop-In 29 | Fundname Drop-In 30 |
The following matter will be considered at the Meeting:
1. | To elect Steven E. Buller, John A, Caroselli, Maureen R. Goldfarb, David H. Gunning, Michael Hegarty, John P. Kavanaugh, Robert J. Manning, Clarence Otis, Jr., Maryanne L. Roepke, Robin A. Stelmach, and Laurie J. Thomsen as Trustees of each of the trusts of which the Funds are series. |
2. | To transact such other business as may properly come before the Meeting and any adjournment(s) or postponement(s) thereof. |
If you wish to attend and vote at the Meeting, please bring this Notice and proper identification with you to the Meeting.
Please refer to the Proxy Materials for further details on the proposal.
YOUR VOTE IS IMPORTANT NO MATTER HOW MANY SHARES YOU OWN |
Common Questions about Notice and Access
Why am I receiving a Notice of Internet Availability instead of a Proxy Card and Proxy Statement?
Your Fund(s) has elected to utilize a distribution model authorized by the U.S. Securities and Exchange Commission (“SEC”) in 2007. This model, known as Notice and Access, allows mutual funds and public companies to send you a Notice instead of a full set of printed proxy materials. As a shareholder, you can select the means by which you access those proxy materials. You can view the materials electronically via the Internet, or request a full set of printed materials for this Shareholder Meeting and all future shareholder meetings, or you can make that choice on a case by case basis.
How do I access the materials, set my preference for future shareholder meeting materials and record my vote?
On the front side of this Notice are easy to follow instructions on how to access proxy materials electronically or request a full set of printed materials. Once you are on the website or ordering on the phone, you can also make your selection for future meetings.
When you are ready to vote, electronic voting is available by Internet or Touch Tone Telephone by using the Control Number and Security Code on the front of this Notice. The Touch Tone voting phone number is different from the ordering phone number and is displayed on the website. If you want to vote via Mail, you will need to request a paper copy of the materials to receive a Proxy Card and Return Envelope.
If I request printed proxy materials, how long will it take for me to receive them?
The SEC rule requires that the materials be sent via first class mail within three business days of receipt of your request.
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