MFS Managed Wealth Fund Class A MNWAX

Rating as of | See MFS Investment Hub
  • NAV / 1-Day Return 13.64  /  −0.29 %
  • Total Assets 36.0M
  • Adj. Expense Ratio
    1.390%
  • Expense Ratio 0.920%
  • Distribution Fee Level Below Average
  • Share Class Type Front Load
  • Category Equity Market Neutral
  • Investment Style Large Blend
  • Min. Initial Investment 1,000
  • Status Open
  • TTM Yield 0.56%
  • Turnover 11%

USD | NAV as of Jul 17, 2026 | 1-Day Return as of Jul 17, 2026, 12:11 AM GMT+0

Morningstar’s Analysis MNWAX

There is no Morningstar’s Analysis data available.

Portfolio Holdings MNWAX

  • Current Portfolio Date
  • Equity Holdings
  • Bond Holdings
  • Other Holdings
  • % Assets in Top 10 Holdings 57.9
Top 10 Holdings
% Portfolio Weight
Market Value USD
Sector

Cash Offset

34.02 12M

MFS International Equity R6

30.83 11M

MFS Growth R6

30.81 11M

MFS Value R6

30.11 11M

Currency Cash CASH_USD

6.27 2M
Cash and Equivalents

United States Treasury Notes 3.5%

0.99 351,758
Government

Stoxx Europe 600 Price Index Dec 18 26

0.63 225,074

United States Treasury Notes 4.25%

0.57 204,069
Government

United States Treasury Notes 4.63%

0.29 102,010
Cash and Equivalents

Standard & Poors Index Option Jun 18 26 P6200

−0.06 −21,831

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