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MFS Investment Management position in NVDA

NVIDIA CORPORATION · Technology

Latest position (Q2 2026)62.51M sh
Reported value held$13.66B
Portfolio Weight4.56%
First reportedQ2 2021
Last changeReduce

Quarter by quarter

QuarterSharesValueChange
Q2 2021 1.96M $1.57B New
Q3 2021 7.81M $1.62B Add
Q4 2021 8.07M $2.37B Add
Q2 2022 6.94M $1.05B Reduce
Q3 2022 6.65M $807.48M Reduce
Q4 2022 6.28M $917.49M Reduce
Q1 2023 7.33M $2.04B Add
Q2 2023 8.62M $3.64B Add
Q3 2023 8.80M $3.83B Add
Q4 2023 9.28M $4.59B Add
Q1 2024 9.10M $8.22B Reduce
Q2 2024 82.69M $10.22B Add
Q3 2024 66.85M $8.12B Reduce
Q4 2024 65.69M $8.82B Reduce
Q1 2025 58.35M $6.32B Reduce
Q2 2025 57.36M $9.06B Reduce
Q3 2025 71.72M $13.38B Add
Q4 2025 67.15M $12.52B Reduce
Q1 2026 65.28M $11.56B Reduce
Q2 2026 62.51M $13.66B Reduce

Dots on the line are colored by change type; missing quarters mean no position was reported.

Other funds holding NVDA

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