MFS Emerging Markets Debt W (MEDWX)

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Issue Coupon Maturity Date Amount Owned % of Fund
Mfs Ser Tr Xiv $340,515,171 11.04
Russian Federation 7.5% 7.5 2030-03-31 $137,159,402 5.2
United Mexican Sts Mtn Be 5.125% 5.12 2020-01-15 $79,753,000 2.73
Republic Of Turkey 5.625% 5.62 2021-03-30 $56,885,000 1.88
Philippines Rep 6.375% 6.38 2034-10-23 $51,623,000 1.81
Venezuela Rep 9.25% 9.25 2027-09-15 $74,512,000 1.79
Argentine Republic 0.389% 0.39 2012-08-03 $56,215,700 1.77
Republic Of Venezuela 7.75% 7.75 2019-10-13 $75,310,000 1.77
Bolivarian Republic Venezuela 12.75% 12.75 2022-08-23 $58,635,000 1.67
Gaz Cap Sa 8.125% 8.12 2014-07-31 $44,475,000 1.67
Argentina Rep 1.33% 1.33 2038-12-31 $105,973,000 1.48
Uruguay Rep 8% 8 2022-11-18 $31,255,728 1.29
Hungary Rep 6.375% 6.38 2021-03-29 $38,278,000 1.24
Republic Of Turkey 7.375% 7.38 2025-02-05 $31,653,000 1.19
Republic Of Turkey 7.5% 7.5 2019-11-07 $30,169,000 1.17
Argentine Republic 8.28% 8.28 2033-12-31 $38,833,393 1.15
Argentine Republic 8.75% 8.75 2017-06-02 $33,072,000 1.13
Petronas Cap 5.25% 5.25 2019-08-12 $32,066,000 1.11
Pemex Proj Fdg Master Tr 5.75% 5.75 2018-03-01 $30,776,000 1.06
Dev Bk Of Kazakhstan 144A 5.5% 5.5 2015-12-20 $30,508,000 1.05
Russian Fedn 5% 5 2020-04-29 $31,200,000 1.04
Pemex Proj Fdg Master Tr 6.625% 6.62 2035-06-15 $29,776,000 0.99
Russia Fedn Ministry Fin 5% 5 2020-04-29 $28,100,000 0.94
Republic Of Turkey 7% 7 2019-03-11 $25,553,000 0.94
Argentine Republic 7% 7 2017-04-17 $30,034,164 0.91