Webmeikx Daily Nav Daily NAV is the Net Asset Value per share determined using the amortized cost of portfolio securities rounded to two decimal places and is the price at which fund … Web28 feb. 2024 · MEIKX exposure stats including asset allocation, regional exposure, sector exposure and more. MFS Value R6 (MEIKX) 46.76 +0.17 ( +0.36% ) USD Apr 10 2024
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Web31 mrt. 2024 · Analyze the Fund MFS Value Fund Class R6 having Symbol MEIKX for type workplacefunds and perform research on other mutual funds. Learn more about mutual … WebSummary; Performance; Fundamentals; Advice; Buy or Sell News Calendar Exposure. MEIKX Fund : USD 48.66 0.44 0.90% : Assuming the 90 days horizon and your above … caravans headed to us border
MFS Value Fund (MEIKX) - Yahoo Finance
Web10 apr. 2024 · In depth view into MEIKX (MFS Value R6) including performance, dividend history, holdings and portfolio stats. ... Prospectus Objective: Growth: Fund Owner Firm … Web12 apr. 2024 · Pricing frequency. Daily. Total net assets. 57.40bn USD. As of Feb 28 2024. Share class size. 20.31bn USD. As of Feb 28 2024. Net expense ratio. Web4 aug. 2024 · More MEIKX Holdings Current Portfolio Date Feb 28, 2024 Equity Holdings 72 Bond Holdings 0 Other Holdings 1 % Assets in Top 10 Holdings 26.3 Top 10 Holdings % … broadway brewery mo