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Submitted URL: http://mfs.onlineprospectus.net/MFS/MFS_MEG/index.html?open=Summary%20Prospectus
Effective URL: https://mfs.onlineprospectus.net/MFS/MFS_MEG/index.php?ctype=summary
Submission: On May 20 via manual from US — Scanned from US
Effective URL: https://mfs.onlineprospectus.net/MFS/MFS_MEG/index.php?ctype=summary
Submission: On May 20 via manual from US — Scanned from US
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Here is the document you have selected for this fund site.Summary Prospectus GROWTH FUND SUMMARY PROSPECTUS SITE Return to Fund Home Page Share Print Request Materials Search Hidden Input Used by System to Allow Searching Growth Fund > Summary Prospectus > MFS® Growth Fund > Summary of Key Information Welcome to the MFS® Funds Document Site Click on any document below to begin reading. After selecting a document ... * Click on the CONTENTS button to view the Table of Contents for the current document * Click on the PAGES button to view a list of pages for the current document * Use the download icon in the navigation bar to download a PDF of the document Summary Prospectus Select to open Summary Prospectus Statutory Prospectus Select to open Statutory Prospectus Statement of Additional Information Select to open Statement of Additional Information Annual Report Select to open Annual Report Semi-Annual Report Select to open Semi-Annual Report First Quarter Holdings Select to open First Quarter Holdings Third Quarter Holdings Select to open Third Quarter Holdings List of available documentsDocuments Summary Prospectus Summary Prospectus Summary Prospectus contents Summary of Key Information MFS® Growth Fund Statutory Prospectus Statutory Prospectus Statutory Prospectus contents PROSPECTUS Table of contents Summary of Key Information Investment Objective, Strategies, and Risks Management of the Fund Description of Share Classes How To Purchase, Redeem, and Exchange Shares Other Information Financial Highlights Financial Intermediary Category I Financial Intermediary Category II Financial Intermediary Category III Financial Intermediary Category IV Financial Intermediary Category V Financial Intermediary Category VI Financial Intermediary Category VII Financial Intermediary Category VIII Financial Intermediary Category IX Financial Intermediary Category X Financial Intermediary Category XI WAIVERS AND REDUCTIONS Appendix A - Waivers and Reductions of Sales Charges MFS® Growth Fund Statement of Additional Information Statement of Additional Information Statement of Additional Information contents Table of Contents: DEFINITIONS MANAGEMENT OF THE FUND SALES CHARGES DISTRIBUTION PLAN FINANCIAL INTERMEDIARY COMPENSATION INVESTMENT STRATEGIES, RISKS AND RESTRICTIONS NET INCOME AND DISTRIBUTIONS TAX CONSIDERATIONS PORTFOLIO TRANSACTIONS AND BROKERAGE COMMISSIONS DISCLOSURE OF PORTFOLIO HOLDINGS AND OTHER FUND INFORMATION DETERMINATION OF NET ASSET VALUE DESCRIPTION OF SHARES, VOTING RIGHTS, AND LIABILITIES INDEPENDENT REGISTERED PUBLIC ACCOUNTING FIRM(S) AND FINANCIAL STATEMENTS APPENDIX A - TRUSTEES AND OFFICERS – IDENTIFICATION AND BACKGROUND APPENDIX B - TRUSTEE COMPENSATION AND COMMITTEES APPENDIX C - SHARE OWNERSHIP APPENDIX D - PORTFOLIO MANAGER(S) APPENDIX E - PROXY VOTING POLICIES AND PROCEDURES APPENDIX F - CERTAIN SERVICE PROVIDER COMPENSATION APPENDIX G - SALES CHARGES APPENDIX H - DISTRIBUTION PLAN PAYMENTS APPENDIX I - FINANCIAL INTERMEDIARY COMPENSATION APPENDIX J - INVESTMENT STRATEGIES AND RISKS APPENDIX K - INVESTMENT RESTRICTIONS APPENDIX L - PORTFOLIO TRANSACTIONS AND BROKERAGE COMMISSIONS APPENDIX M - RECIPIENTS OF NON-PUBLIC PORTFOLIO HOLDINGS ON AN ONGOING BASIS APPENDIX N - DESCRIPTION OF RATINGS APPENDIX O – INCOME AND FEES RELATED TO SECURITIES LENDING ACTIVITIES APPENDIX P – INDEX PROVIDER INFORMATION Statement of Additional Information Annual Report Annual Report Annual Report contents CONTENTS PORTFOLIO COMPOSITION MANAGEMENT REVIEW PERFORMANCE SUMMARY EXPENSE TABLE PORTFOLIO OF INVESTMENTS STATEMENT OF ASSETS AND LIABILITIES STATEMENT OF OPERATIONS STATEMENTS OF CHANGES IN NET ASSETS FINANCIAL HIGHLIGHTS NOTES TO FINANCIAL STATEMENTS REPORT OF INDEPENDENT REGISTERED PUBLIC ACCOUNTING FIRM TRUSTEES AND OFFICERS — IDENTIFICATION AND BACKGROUND BOARD REVIEW OF INVESTMENT ADVISORY AGREEMENT PROXY VOTING POLICIES AND INFORMATION QUARTERLY PORTFOLIO DISCLOSURE FURTHER INFORMATION INFORMATION ABOUT FUND CONTRACTS AND LEGAL CLAIMS FEDERAL TAX INFORMATION MFS® privacy notice CONTACT MFS® Growth Fund Semi-Annual Report Semi-Annual Report Semi-Annual Report contents CONTENTS PORTFOLIO COMPOSITION EXPENSE TABLE PORTFOLIO OF INVESTMENTS STATEMENT OF ASSETS AND LIABILITIES STATEMENT OF OPERATIONS STATEMENTS OF CHANGES IN NET ASSETS FINANCIAL HIGHLIGHTS NOTES TO FINANCIAL STATEMENTS STATEMENT REGARDING LIQUIDITY RISK MANAGEMENT PROGRAM PROXY VOTING POLICIES AND INFORMATION QUARTERLY PORTFOLIO DISCLOSURE FURTHER INFORMATION INFORMATION ABOUT FUND CONTRACTS AND LEGAL CLAIMS PROVISION OF FINANCIAL REPORTS AND SUMMARY PROSPECTUSES CONTACT MFS® Growth Fund First Quarter Holdings First Quarter Holdings First Quarter Holdings contents PORTFOLIO OF INVESTMENTS Supplemental Information MFS® Growth Fund Third Quarter Holdings Third Quarter Holdings Third Quarter Holdings contents PORTFOLIO OF INVESTMENTS Supplemental Information MFS® Growth Fund PAGES * Back To [[docname]]Page [[num]] / 4 Select to download Summary Prospectus * 1 * 2 * 3 * 4 * MFS® Growth Fund * Summary of Key Information View Preivous Page PAGE 1 Two Page Display XBRL XBRL menu Print | SEC XBRL Filing [[xml_content]] View Next Page List of Related DocumentsRelated Documents Select to open Statutory Prospectus Statutory Prospectus contents PROSPECTUS Table of contents Summary of Key Information Investment Objective, Strategies, and Risks Management of the Fund Description of Share Classes How To Purchase, Redeem, and Exchange Shares Other Information Financial Highlights Financial Intermediary Category I Financial Intermediary Category II Financial Intermediary Category III Financial Intermediary Category IV Financial Intermediary Category V Financial Intermediary Category VI Financial Intermediary Category VII Financial Intermediary Category VIII Financial Intermediary Category IX Financial Intermediary Category X Financial Intermediary Category XI WAIVERS AND REDUCTIONS Appendix A - Waivers and Reductions of Sales Charges MFS® Growth Fund Select to open Statutory ProspectusStatutory Prospectus Select to open Statement of Additional Information Statement of Additional Information contents Table of Contents: DEFINITIONS MANAGEMENT OF THE FUND SALES CHARGES DISTRIBUTION PLAN FINANCIAL INTERMEDIARY COMPENSATION INVESTMENT STRATEGIES, RISKS AND RESTRICTIONS NET INCOME AND DISTRIBUTIONS TAX CONSIDERATIONS PORTFOLIO TRANSACTIONS AND BROKERAGE COMMISSIONS DISCLOSURE OF PORTFOLIO HOLDINGS AND OTHER FUND INFORMATION DETERMINATION OF NET ASSET VALUE DESCRIPTION OF SHARES, VOTING RIGHTS, AND LIABILITIES INDEPENDENT REGISTERED PUBLIC ACCOUNTING FIRM(S) AND FINANCIAL STATEMENTS APPENDIX A - TRUSTEES AND OFFICERS – IDENTIFICATION AND BACKGROUND APPENDIX B - TRUSTEE COMPENSATION AND COMMITTEES APPENDIX C - SHARE OWNERSHIP APPENDIX D - PORTFOLIO MANAGER(S) APPENDIX E - PROXY VOTING POLICIES AND PROCEDURES APPENDIX F - CERTAIN SERVICE PROVIDER COMPENSATION APPENDIX G - SALES CHARGES APPENDIX H - DISTRIBUTION PLAN PAYMENTS APPENDIX I - FINANCIAL INTERMEDIARY COMPENSATION APPENDIX J - INVESTMENT STRATEGIES AND RISKS APPENDIX K - INVESTMENT RESTRICTIONS APPENDIX L - PORTFOLIO TRANSACTIONS AND BROKERAGE COMMISSIONS APPENDIX M - RECIPIENTS OF NON-PUBLIC PORTFOLIO HOLDINGS ON AN ONGOING BASIS APPENDIX N - DESCRIPTION OF RATINGS APPENDIX O – INCOME AND FEES RELATED TO SECURITIES LENDING ACTIVITIES APPENDIX P – INDEX PROVIDER INFORMATION Statement of Additional Information Select to open Statement of Additional InformationStatement of Additional Information Privacy Terms of Use Business Continuity Cookies Policy and Online Privacy Site Comments Careers Contact Us This site is intended for use by U.S. residents. 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