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MFS Investment Management position in VST

VISTRA CORP · Utilities

Latest position (Q2 2026)3.16M sh
Reported value held$501.63M
Portfolio Weight0.17%
First reportedQ2 2021
Last changeReduce

Quarter by quarter

QuarterSharesValueChange
Q2 2021 1.94M $35.90M New
Q3 2021 1.63M $27.94M Reduce
Q4 2021 1.08M $24.63M Reduce
Q2 2022 1.93M $44.11M Add
Q3 2022 2.18M $45.88M Add
Q4 2022 1.89M $43.80M Reduce
Q1 2023 1.93M $46.21M Add
Q2 2023 1.91M $50.05M Reduce
Q3 2023 1.76M $58.56M Reduce
Q4 2023 1.58M $60.87M Reduce
Q1 2024 1.18M $81.92M Reduce
Q2 2024 2.53M $217.76M Add
Q3 2024 3.83M $453.61M Add
Q4 2024 6.26M $863.12M Add
Q1 2025 5.92M $694.84M Reduce
Q2 2025 6.18M $1.20B Add
Q3 2025 7.11M $1.39B Add
Q4 2025 6.53M $1.05B Reduce
Q1 2026 3.95M $596.32M Reduce
Q2 2026 3.16M $501.63M Reduce

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

Other funds holding VST

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