0001193125-13-207079.txt : 20130508 0001193125-13-207079.hdr.sgml : 20130508 20130508143257 ACCESSION NUMBER: 0001193125-13-207079 CONFORMED SUBMISSION TYPE: 13F-HR PUBLIC DOCUMENT COUNT: 1 CONFORMED PERIOD OF REPORT: 20130331 FILED AS OF DATE: 20130508 DATE AS OF CHANGE: 20130508 EFFECTIVENESS DATE: 20130508 FILER: COMPANY DATA: COMPANY CONFORMED NAME: MASSACHUSETTS FINANCIAL SERVICES CO /MA/ CENTRAL INDEX KEY: 0000912938 IRS NUMBER: 000000000 STATE OF INCORPORATION: DE FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: 13F-HR SEC ACT: 1934 Act SEC FILE NUMBER: 028-04968 FILM NUMBER: 13823999 BUSINESS ADDRESS: STREET 1: 111 HUNTINGTON AVENUE STREET 2: 24TH FLOOR CITY: BOSTON STATE: MA ZIP: 02199 BUSINESS PHONE: 18006372929 MAIL ADDRESS: STREET 1: 111 HUNTINGTON AVENUE STREET 2: 24TH FLOOR CITY: BOSTON STATE: MA ZIP: 02199 13F-HR 1 d524878d13fhr.txt MASSACHUSETTS FINANCIAL SERVICES COMPANY 13F-HR UNITED STATES SECURITIES AND EXCHANGE COMMISSION Washington, D.C. 20549 Form 13F Form 13F Cover Page Report for the Calendar Year or Quarter Ended: 3/31/13 Check here if Amendment [_]; Amendment Number: ------------------ This Amendment (Check only one): [_] is a restatement. [_] adds new holdings entries. Institutional Investment Manager Filing this Report: Name: Massachusetts Financial Services Company Address: 111 Huntington Avenue Boston, MA 02199 Form 13F File Number: 28-04968 The institutional investment manager filing this report and the person by whom it is signed hereby represent that the person signing the report is authorized to submit it, that all information contained herein is true, correct and complete, and that it is understood that all required items, statements, schedules, lists, and tables, are considered integral parts of this form. Person Signing this Report on Behalf of Reporting Manager: Name: Amanda Mooradian Title: Assistant Secretary Phone: 617-954-4384 Signature, Place, and Date of Signing: /s/ Amanda Mooradian Boston, MA 5/8/13 -------------------------- ------------------------- ------------------------- [Signature] [City, State] [Date] Report Type (Check only one): [_] 13F HOLDINGS REPORT. (Check here if all holdings of this reporting manager are reported in this report.) [_] 13F NOTICE. (Check here if no holdings reported are in this report, and all holdings are reported by other reporting managers(s).) [X] 13F COMBINATION REPORT. (Check here if a portion of the holdings for this reporting manager is reported in this report and a portion is reported by other reporting manager(s).) List of Other Managers Reporting for this Manager: Form 13F File Number Name -------------------- ---- 28-01190 Frank Russell Company 28-00487 USAA Investment Management Company FORM 13F SUMMARY PAGE Report Summary: Number of Other Included Managers: 7 Form 13F Information Table Entry Total: 2,160 Form 13F Information Table Value Total: $140,499,039 (thousands) List of Other Included Managers: Provide a numbered list of the name(s) and Form 13F file number(s) of all institutional investment managers with respect to which this report is filed, other than the manager filing this report. No. Form 13F File Number Name --- -------------------- ---- 1. 28-13173 MFS Institutional Advisors, Inc. 2. 28-13180 MFS Investment Management Company (LUX) S.A.R.L. 3. 28-13179 MFS International Ltd. 4. 28-13178 MFS International (U.K.) Limited 5. 28-13177 MFS Investment Management K.K. 6. 28-13175 MFS Heritage Trust Company 7. 28-06597 MFS McLean Budden Limited MFS 13F REPORT [MFS LOGO] AS OF DATE: 3/31/13
COLUMN 1 COLUMN 2 COLUMN 3 COLUMN 4 COLUMN 5 COLUMN 6 COLUMN 7 COLUMN 8 INVESTMENT SH/PRN SH/ PUT/ DISCRETION OTHER (B) VOTING AUTHORITY ISSUER CLASS CUSIP MARKET VALUE AMOUNT PRN CALL TYPE MGRS (A)SOLE* SHARED (C)NONE ---------------------- ---------------- --------- -------------- ---------- --- ---- ---------- -------- ---------- ------ --------- 3-D SYS CORP DEL COM NEW 88554D205 15,130,554 469,310 SH SOLE 469,310 0 0 3-D SYS CORP DEL COM NEW 88554D205 1,348,277 41,820 SH DEFINED 1 11,740 0 30,080 3M CO COM 88579Y101 917,055,362 8,626,238 SH SOLE 7,953,261 0 672,977 3M CO COM 88579Y101 581,962,627 5,474,204 SH DEFINED 1 3,850,966 0 1,623,238 3M CO COM 88579Y101 102,158,488 960,949 SH DEFINED 2 960,949 0 0 3M CO COM 88579Y101 23,605,072 222,040 SH DEFINED 3 222,040 0 0 3M CO COM 88579Y101 219,227,379 2,062,152 SH DEFINED 4 1,555,390 0 506,762 3M CO COM 88579Y101 188,425,120 1,772,412 SH DEFINED 5 1,711,752 0 60,660 3M CO COM 88579Y101 19,868,276 186,890 SH DEFINED 6 186,890 0 0 3M CO COM 88579Y101 5,450,088 51,266 SH DEFINED 7 51,266 0 0 51JOB INC SP ADR REP COM 316827104 5,434,114 91,468 SH SOLE 88,028 0 3,440 51JOB INC SP ADR REP COM 316827104 661,827 11,140 SH DEFINED 1 11,140 0 0 51JOB INC SP ADR REP COM 316827104 276,257 4,650 SH DEFINED 6 4,650 0 0 AAR CORP COM 000361105 848,699 46,150 SH SOLE 46,150 0 0 ABBOTT LABS COM 002824100 442,396,174 12,525,373 SH SOLE 11,753,420 0 771,953 ABBOTT LABS COM 002824100 83,207,421 2,355,816 SH DEFINED 1 1,630,429 0 725,387 ABBOTT LABS COM 002824100 7,398,127 209,460 SH DEFINED 4 0 0 209,460 ABBOTT LABS COM 002824100 4,462,965 126,358 SH DEFINED 5 126,358 0 0 ABBOTT LABS COM 002824100 7,759,098 219,680 SH DEFINED 6 219,680 0 0 ABBOTT LABS COM 002824100 2,146,538 60,774 SH DEFINED 7 60,774 0 0 ABBVIE INC COM 00287Y109 315,506,989 7,736,807 SH SOLE 7,160,544 0 576,263 ABBVIE INC COM 00287Y109 74,480,959 1,826,409 SH DEFINED 1 1,294,472 0 531,937 ABBVIE INC COM 00287Y109 5,715,725 140,160 SH DEFINED 4 0 0 140,160 ABBVIE INC COM 00287Y109 3,840,579 94,178 SH DEFINED 5 94,178 0 0 ABBVIE INC COM 00287Y109 7,093,681 173,950 SH DEFINED 6 173,950 0 0 ABBVIE INC COM 00287Y109 1,528,434 37,480 SH DEFINED 7 37,480 0 0 ACCENTURE PLC IRELAND SHS CLASS A G1151C101 1,533,096,251 20,180,285 SH SOLE 19,019,659 0 1,160,626 ACCENTURE PLC IRELAND SHS CLASS A G1151C101 892,049,464 11,742,128 SH DEFINED 1 8,497,733 0 3,244,395 ACCENTURE PLC IRELAND SHS CLASS A G1151C101 124,454,738 1,638,209 SH DEFINED 2 1,638,209 0 0 ACCENTURE PLC IRELAND SHS CLASS A G1151C101 26,913,892 354,270 SH DEFINED 3 354,270 0 0 ACCENTURE PLC IRELAND SHS CLASS A G1151C101 300,979,845 3,961,825 SH DEFINED 4 3,157,445 0 804,380 ACCENTURE PLC IRELAND SHS CLASS A G1151C101 227,754,793 2,997,957 SH DEFINED 5 2,900,007 0 97,950 ACCENTURE PLC IRELAND SHS CLASS A G1151C101 55,558,228 731,318 SH DEFINED 6 731,318 0 0 ACCENTURE PLC IRELAND SHS CLASS A G1151C101 49,305,897 649,018 SH DEFINED 7 632,878 0 16,140 ACCESS MIDSTREAM PARTNERS L UNIT 00434L109 4,462,096 110,530 SH SOLE 102,420 0 8,110 ACCURIDE CORP NEW COM NEW 00439T206 1,279,387 237,363 SH SOLE 237,363 0 0 ACE LTD SHS H0023R105 818,048,811 9,194,659 SH SOLE 8,580,344 0 614,315 ACE LTD SHS H0023R105 84,528,707 950,081 SH DEFINED 1 603,984 0 346,097 ACE LTD SHS H0023R105 25,824,432 290,260 SH DEFINED 4 173,010 0 117,250 ACE LTD SHS H0023R105 2,531,197 28,450 SH DEFINED 5 28,450 0 0 ACE LTD SHS H0023R105 8,768,705 98,558 SH DEFINED 6 98,558 0 0 ACE LTD SHS H0023R105 38,821,526 436,344 SH DEFINED 7 433,154 0 3,190 ACTIVISION BLIZZARD INC COM 00507V109 23,837,773 1,636,086 SH SOLE 1,636,086 0 0
*Please note a de minimis portion of these shares may have non voting authority **13F Filing Report NOTE: Positions of interlisted Canadian issuers are aggregates of purchases made on US and CDN exchanges. Page 1 of 49 MFS 13F REPORT [MFS LOGO] AS OF DATE: 3/31/13 ACTIVISION BLIZZARD INC COM 00507V109 536,817 36,844 SH DEFINED 1 12,684 0 24,160 ADVANCE AUTO PARTS INC COM 00751Y106 233,012,666 2,819,270 SH SOLE 2,599,303 0 219,967 ADVANCE AUTO PARTS INC COM 00751Y106 36,455,179 441,079 SH DEFINED 1 290,279 0 150,800 ADVANCE AUTO PARTS INC COM 00751Y106 1,295,621 15,676 SH DEFINED 5 15,676 0 0 ADVANCE AUTO PARTS INC COM 00751Y106 4,469,795 54,081 SH DEFINED 6 54,081 0 0 ADVANCE AUTO PARTS INC COM 00751Y106 101,494 1,228 SH DEFINED 7 1,228 0 0 ADVISORY BRD CO COM 00762W107 26,354,116 501,792 SH SOLE 501,792 0 0 ADVISORY BRD CO COM 00762W107 1,227,392 23,370 SH DEFINED 1 6,900 0 16,470 AEROFLEX HLDG CORP COM 007767106 2,171,404 276,260 SH SOLE 276,260 0 0 AEROFLEX HLDG CORP COM 007767106 183,845 23,390 SH DEFINED 4 23,390 0 0 AES CORP COM 00130H105 236,887,043 18,845,429 SH SOLE 17,690,689 0 1,154,740 AES CORP COM 00130H105 14,595,442 1,161,133 SH DEFINED 1 1,109,473 0 51,660 AES CORP COM 00130H105 95,406 7,590 SH DEFINED 4 7,590 0 0 AES CORP COM 00130H105 2,001,672 159,242 SH DEFINED 6 159,242 0 0 AETNA INC NEW COM 00817Y108 15,948,930 311,929 SH SOLE 311,929 0 0 AETNA INC NEW COM 00817Y108 8,560,338 167,423 SH DEFINED 1 161,223 0 6,200 AFFILIATED MANAGERS GROUP COM 008252108 145,545,660 947,748 SH SOLE 947,748 0 0 AFFILIATED MANAGERS GROUP COM 008252108 3,988,674 25,973 SH DEFINED 1 25,973 0 0 AFFILIATED MANAGERS GROUP COM 008252108 340,925 2,220 SH DEFINED 7 2,220 0 0 AFLAC INC COM 001055102 1,866,165 35,874 SH SOLE 35,874 0 0 AGL RES INC COM 001204106 11,914,261 284,011 SH SOLE 284,011 0 0 AGL RES INC COM 001204106 162,347 3,870 SH DEFINED 1 3,870 0 0 AGL RES INC COM 001204106 25,149,948 599,522 SH DEFINED 4 0 0 599,522 AGNICO EAGLE MINES LTD COM 008474108 330,372 8,050 SH DEFINED 7 8,050 0 0 AGRIUM INC COM 008916108 26,325 270 SH DEFINED 1 270 0 0 AGRIUM INC COM 008916108 93,442,050 958,380 SH DEFINED 7 912,770 0 45,610 AIR PRODS & CHEMS INC COM 009158106 411,121,719 4,719,028 SH SOLE 4,338,834 0 380,194 AIR PRODS & CHEMS INC COM 009158106 57,703,496 662,345 SH DEFINED 1 436,435 0 225,910 AIR PRODS & CHEMS INC COM 009158106 2,053,331 23,569 SH DEFINED 5 23,569 0 0 AIR PRODS & CHEMS INC COM 009158106 7,156,124 82,141 SH DEFINED 6 82,141 0 0 AIR PRODS & CHEMS INC COM 009158106 161,695 1,856 SH DEFINED 7 1,856 0 0 AIRCASTLE LTD COM G0129K104 719,568 52,600 SH SOLE 52,600 0 0 AIRGAS INC COM 009363102 118,902,855 1,199,101 SH SOLE 1,199,101 0 0 AIRGAS INC COM 009363102 26,007,586 262,279 SH DEFINED 1 262,279 0 0 AIRGAS INC COM 009363102 114,034 1,150 SH DEFINED 4 1,150 0 0 AIRGAS INC COM 009363102 1,653,493 16,675 SH DEFINED 6 16,675 0 0 AIRGAS INC COM 009363102 1,239,401 12,499 SH DEFINED 7 12,499 0 0 ALBEMARLE CORP COM 012653101 15,418,057 246,610 SH SOLE 246,610 0 0 ALERE INC COM 01449J105 1,298,456 50,860 SH SOLE 50,860 0 0 ALEXANDRIA REAL ESTATE EQ IN COM 015271109 18,187,631 256,236 SH SOLE 256,236 0 0 ALEXION PHARMACEUTICALS INC COM 015351109 93,987,315 1,020,049 SH SOLE 1,020,049 0 0 ALEXION PHARMACEUTICALS INC COM 015351109 2,880,757 31,265 SH DEFINED 1 31,265 0 0 ALEXION PHARMACEUTICALS INC COM 015351109 273,932 2,973 SH DEFINED 7 2,973 0 0 ALIGN TECHNOLOGY INC COM 016255101 37,315,932 1,113,576 SH SOLE 1,113,576 0 0 ALIGN TECHNOLOGY INC COM 016255101 3,557,087 106,150 SH DEFINED 1 29,830 0 76,320
*Please note a de minimis portion of these shares may have non voting authority **13F Filing Report NOTE: Positions of interlisted Canadian issuers are aggregates of purchases made on US and CDN exchanges. Page 2 of 49 MFS 13F REPORT [MFS LOGO] AS OF DATE: 3/31/13 ALLERGAN INC COM 018490102 169,848,952 1,521,535 SH SOLE 1,521,535 0 0 ALLERGAN INC COM 018490102 21,863,517 195,857 SH DEFINED 1 195,857 0 0 ALLERGAN INC COM 018490102 2,103,109 18,840 SH DEFINED 4 18,840 0 0 ALLERGAN INC COM 018490102 1,829,392 16,388 SH DEFINED 5 16,388 0 0 ALLERGAN INC COM 018490102 4,268,396 38,237 SH DEFINED 7 34,857 0 3,380 ALLIANT ENERGY CORP COM 018802108 6,171,437 122,986 SH SOLE 122,986 0 0 ALLIANT ENERGY CORP COM 018802108 11,993 239 SH DEFINED 1 239 0 0 ALLIANT ENERGY CORP COM 018802108 32,512,074 647,909 SH DEFINED 4 0 0 647,909 ALLIED WRLD ASSUR COM HLDG A SHS H01531104 18,157,543 195,832 SH SOLE 195,832 0 0 ALLISON TRANSMISSION HLDGS I COM 01973R101 45,958,501 1,914,140 SH SOLE 1,914,140 0 0 ALLISON TRANSMISSION HLDGS I COM 01973R101 3,737,949 155,683 SH DEFINED 1 44,203 0 111,480 ALMOST FAMILY INC COM 020409108 2,444,327 119,644 SH SOLE 119,644 0 0 ALON USA ENERGY INC COM 020520102 848,868 44,560 SH SOLE 44,560 0 0 ALTERA CORP COM 021441100 280,149,248 7,900,430 SH SOLE 7,617,650 0 282,780 ALTERA CORP COM 021441100 87,331,916 2,462,829 SH DEFINED 1 1,891,871 0 570,958 ALTERA CORP COM 021441100 27,668,303 780,268 SH DEFINED 2 780,268 0 0 ALTERA CORP COM 021441100 7,374,652 207,971 SH DEFINED 3 207,971 0 0 ALTERA CORP COM 021441100 58,268,688 1,643,223 SH DEFINED 4 1,163,233 0 479,990 ALTERA CORP COM 021441100 54,386,420 1,533,740 SH DEFINED 5 1,476,090 0 57,650 ALTERA CORP COM 021441100 2,124,409 59,910 SH DEFINED 6 59,910 0 0 ALTERA CORP COM 021441100 28,248,606 796,633 SH DEFINED 7 791,313 0 5,320 ALTRA HOLDINGS INC COM 02208R106 1,500,366 55,120 SH SOLE 55,120 0 0 ALTRIA GROUP INC COM 02209S103 197,196,215 5,734,115 SH SOLE 5,283,190 0 450,925 ALTRIA GROUP INC COM 02209S103 27,996,246 814,081 SH DEFINED 1 501,901 0 312,180 ALTRIA GROUP INC COM 02209S103 1,113,479 32,378 SH DEFINED 5 32,378 0 0 ALTRIA GROUP INC COM 02209S103 3,820,248 111,086 SH DEFINED 6 111,086 0 0 ALTRIA GROUP INC COM 02209S103 83,671 2,433 SH DEFINED 7 2,433 0 0 AMAZON COM INC COM 023135106 155,678,928 584,183 SH SOLE 584,183 0 0 AMAZON COM INC COM 023135106 6,581,770 24,698 SH DEFINED 1 24,698 0 0 AMAZON COM INC COM 023135106 1,201,870 4,510 SH DEFINED 4 4,510 0 0 AMAZON COM INC COM 023135106 400,268 1,502 SH DEFINED 7 1,502 0 0 AMC NETWORKS INC CL A 00164V103 10,474,290 165,680 SH SOLE 165,680 0 0 AMC NETWORKS INC CL A 00164V103 31,610 500 SH DEFINED 4 500 0 0 AMERICA MOVIL SAB DE CV SPON ADR L SHS 02364W105 31,774,857 1,515,976 SH SOLE 1,515,976 0 0 AMERICA MOVIL SAB DE CV SPON ADR L SHS 02364W105 8,635,688 412,008 SH DEFINED 1 234,878 0 177,130 AMERICA MOVIL SAB DE CV SPON ADR L SHS 02364W105 347,726 16,590 SH DEFINED 6 16,590 0 0 AMERICAN EAGLE OUTFITTERS NE COM 02553E106 2,629,912 140,637 SH SOLE 140,637 0 0 AMERICAN EAGLE OUTFITTERS NE COM 02553E106 1,989,643 106,398 SH DEFINED 1 106,398 0 0 AMERICAN ELEC PWR INC COM 025537101 212,813,828 4,376,184 SH SOLE 4,095,062 0 281,122 AMERICAN ELEC PWR INC COM 025537101 32,555,305 669,449 SH DEFINED 1 579,539 0 89,910 AMERICAN ELEC PWR INC COM 025537101 14,400,948 296,133 SH DEFINED 4 175,973 0 120,160 AMERICAN ELEC PWR INC COM 025537101 2,142,686 44,061 SH DEFINED 6 44,061 0 0 AMERICAN ELEC PWR INC COM 025537101 15,675,394 322,340 SH DEFINED 7 319,080 0 3,260 AMERICAN EXPRESS CO COM 025816109 324,727,817 4,813,635 SH SOLE 4,533,387 0 280,248 AMERICAN EXPRESS CO COM 025816109 177,417,641 2,629,968 SH DEFINED 1 2,045,978 0 583,990
*Please note a de minimis portion of these shares may have non voting authority **13F Filing Report NOTE: Positions of interlisted Canadian issuers are aggregates of purchases made on US and CDN exchanges. Page 3 of 49 MFS 13F REPORT [MFS LOGO] AS OF DATE: 3/31/13 AMERICAN EXPRESS CO COM 025816109 59,297,273 878,999 SH DEFINED 2 878,999 0 0 AMERICAN EXPRESS CO COM 025816109 15,966,500 236,681 SH DEFINED 3 236,681 0 0 AMERICAN EXPRESS CO COM 025816109 111,094,949 1,646,827 SH DEFINED 4 1,184,235 0 462,592 AMERICAN EXPRESS CO COM 025816109 118,816,758 1,761,292 SH DEFINED 5 1,695,764 0 65,528 AMERICAN EXPRESS CO COM 025816109 4,583,570 67,945 SH DEFINED 6 67,945 0 0 AMERICAN EXPRESS CO COM 025816109 35,317,131 523,527 SH DEFINED 7 519,737 0 3,790 AMERICAN INTL GROUP INC COM NEW 026874784 50,226,325 1,293,826 SH SOLE 1,293,826 0 0 AMERICAN INTL GROUP INC COM NEW 026874784 24,063,082 619,863 SH DEFINED 1 600,233 0 19,630 AMERICAN INTL GROUP INC COM NEW 026874784 221,662 5,710 SH DEFINED 4 5,710 0 0 AMERICAN INTL GROUP INC COM NEW 026874784 1,058,621 27,270 SH DEFINED 6 27,270 0 0 AMERICAN SCIENCE & ENGR INC COM 029429107 646,494 10,600 SH SOLE 10,600 0 0 AMERICAN STS WTR CO COM 029899101 935,513 16,250 SH SOLE 16,250 0 0 AMERICAN TOWER CORP NEW COM 03027X100 519,146,310 6,749,172 SH SOLE 6,543,952 0 205,220 AMERICAN TOWER CORP NEW COM 03027X100 41,460,418 539,007 SH DEFINED 1 479,097 0 59,910 AMERICAN TOWER CORP NEW COM 03027X100 17,557,682 228,259 SH DEFINED 4 135,849 0 92,410 AMERICAN TOWER CORP NEW COM 03027X100 2,226,065 28,940 SH DEFINED 6 28,940 0 0 AMERICAN TOWER CORP NEW COM 03027X100 26,964,844 350,557 SH DEFINED 7 348,057 0 2,500 AMERICAN WOODMARK CORP COM 030506109 778,606 22,880 SH SOLE 22,880 0 0 AMERICAN WTR WKS CO INC NEW COM 030420103 4,296,996 103,692 SH SOLE 103,692 0 0 AMERICAN WTR WKS CO INC NEW COM 030420103 34,219,080 825,750 SH DEFINED 4 0 0 825,750 AMERISOURCEBERGEN CORP COM 03073E105 78,182,288 1,519,578 SH SOLE 1,457,808 0 61,770 AMERISOURCEBERGEN CORP COM 03073E105 2,637,842 51,270 SH DEFINED 1 42,554 0 8,716 AMERISOURCEBERGEN CORP COM 03073E105 149,720 2,910 SH DEFINED 4 2,910 0 0 AMETEK INC NEW COM 031100100 111,584,879 2,573,452 SH SOLE 2,573,452 0 0 AMETEK INC NEW COM 031100100 2,640,624 60,900 SH DEFINED 1 60,900 0 0 AMETEK INC NEW COM 031100100 251,922 5,810 SH DEFINED 7 5,810 0 0 AMGEN INC COM 031162100 16,641,883 162,344 SH SOLE 162,344 0 0 AMGEN INC COM 031162100 41,840,687 408,162 SH DEFINED 1 405,822 0 2,340 AMGEN INC COM 031162100 3,455,100 33,705 SH DEFINED 6 33,705 0 0 AMGEN INC COM 031162100 354,070 3,454 SH DEFINED 7 3,454 0 0 AMPHENOL CORP NEW CL A 032095101 141,390,161 1,894,041 SH SOLE 1,815,522 0 78,519 AMPHENOL CORP NEW CL A 032095101 152,563,997 2,043,724 SH DEFINED 1 1,677,627 0 366,097 AMPHENOL CORP NEW CL A 032095101 49,965,186 669,326 SH DEFINED 2 669,326 0 0 AMPHENOL CORP NEW CL A 032095101 13,299,719 178,161 SH DEFINED 3 178,161 0 0 AMPHENOL CORP NEW CL A 032095101 76,210,708 1,020,907 SH DEFINED 4 776,987 0 243,920 AMPHENOL CORP NEW CL A 032095101 99,501,433 1,332,906 SH DEFINED 5 1,283,626 0 49,280 AMPHENOL CORP NEW CL A 032095101 3,771,617 50,524 SH DEFINED 6 50,524 0 0 AMPHENOL CORP NEW CL A 032095101 3,392,843 45,450 SH DEFINED 7 40,800 0 4,650 ANADARKO PETE CORP COM 032511107 174,774,947 1,998,570 SH SOLE 1,913,050 0 85,520 ANADARKO PETE CORP COM 032511107 5,642,536 64,523 SH DEFINED 1 64,523 0 0 ANADARKO PETE CORP COM 032511107 180,147 2,060 SH DEFINED 4 2,060 0 0 ANADARKO PETE CORP COM 032511107 9,722,691 111,180 SH DEFINED 7 111,180 0 0 ANALOG DEVICES INC COM 032654105 11,444,443 246,170 SH SOLE 246,170 0 0 ANALOGIC CORP COM PAR $0.05 032657207 4,694,578 59,410 SH SOLE 59,410 0 0 ANDERSONS INC COM 034164103 883,615 16,510 SH SOLE 16,510 0 0
*Please note a de minimis portion of these shares may have non voting authority **13F Filing Report NOTE: Positions of interlisted Canadian issuers are aggregates of purchases made on US and CDN exchanges. Page 4 of 49 MFS 13F REPORT [MFS LOGO] AS OF DATE: 3/31/13 ANN INC COM 035623107 2,815,811 97,030 SH SOLE 97,030 0 0 ANNALY CAP MGMT INC COM 035710409 7,628,471 480,080 SH SOLE 480,080 0 0 ANSYS INC COM 03662Q105 28,118,397 345,350 SH SOLE 345,350 0 0 ANSYS INC COM 03662Q105 2,571,244 31,580 SH DEFINED 1 8,980 0 22,600 AOL INC COM 00184X105 8,979,717 233,300 SH SOLE 233,300 0 0 AOL INC COM 00184X105 9,895,817 257,101 SH DEFINED 1 248,531 0 8,570 AOL INC COM 00184X105 790,970 20,550 SH DEFINED 6 20,550 0 0 AON PLC SHS CL A G0408V102 419,406,692 6,819,621 SH SOLE 6,297,482 0 522,139 AON PLC SHS CL A G0408V102 66,526,457 1,081,731 SH DEFINED 1 630,472 0 451,259 AON PLC SHS CL A G0408V102 6,908,295 112,330 SH DEFINED 4 0 0 112,330 AON PLC SHS CL A G0408V102 4,297,805 69,883 SH DEFINED 5 69,883 0 0 AON PLC SHS CL A G0408V102 7,130,925 115,950 SH DEFINED 6 115,950 0 0 AON PLC SHS CL A G0408V102 1,756,317 28,558 SH DEFINED 7 28,558 0 0 APACHE CORP COM 037411105 245,044,497 3,175,797 SH SOLE 2,895,355 0 280,442 APACHE CORP COM 037411105 32,103,730 416,067 SH DEFINED 1 274,778 0 141,289 APACHE CORP COM 037411105 1,158,480 15,014 SH DEFINED 5 15,014 0 0 APACHE CORP COM 037411105 3,955,916 51,269 SH DEFINED 6 51,269 0 0 APACHE CORP COM 037411105 80,787 1,047 SH DEFINED 7 1,047 0 0 APPLE INC COM 037833100 690,773,586 1,560,506 SH SOLE 1,525,836 0 34,670 APPLE INC COM 037833100 100,293,919 226,571 SH DEFINED 1 202,139 0 24,432 APPLE INC COM 037833100 44,231,473 99,922 SH DEFINED 4 64,602 0 35,320 APPLE INC COM 037833100 2,697,127 6,093 SH DEFINED 5 6,093 0 0 APPLE INC COM 037833100 3,519,147 7,950 SH DEFINED 6 7,950 0 0 APPLE INC COM 037833100 68,954,919 155,774 SH DEFINED 7 153,534 0 2,240 AQUA AMERICA INC COM 03836W103 19,669,304 625,614 SH DEFINED 4 0 0 625,614 ARCOS DORADOS HOLDINGS INC SHS CLASS -A - G0457F107 169,115,456 12,811,777 SH SOLE 12,770,367 0 41,410 ARCOS DORADOS HOLDINGS INC SHS CLASS -A - G0457F107 11,380,578 862,165 SH DEFINED 1 564,821 0 297,344 ARCOS DORADOS HOLDINGS INC SHS CLASS -A - G0457F107 2,132,988 161,590 SH DEFINED 6 161,590 0 0 ARCOS DORADOS HOLDINGS INC SHS CLASS -A - G0457F107 8,815,792 667,863 SH DEFINED 7 667,863 0 0 ARCTIC CAT INC COM 039670104 806,702 18,460 SH SOLE 18,460 0 0 ASML HOLDING N V N Y REGISTRY SHS N07059210 6,169,909 90,747 SH SOLE 90,747 0 0 ASML HOLDING N V N Y REGISTRY SHS N07059210 67,242 989 SH DEFINED 1 989 0 0 ASPEN INSURANCE HOLDINGS LTD SHS G05384105 3,481,421 90,239 SH SOLE 90,239 0 0 ASSURANT INC COM 04621X108 1,310,781 29,122 SH SOLE 29,122 0 0 AT&T INC COM 00206R102 893,727,307 24,358,880 SH SOLE 22,634,565 0 1,724,315 AT&T INC COM 00206R102 137,361,343 3,743,836 SH DEFINED 1 2,341,271 0 1,402,565 AT&T INC COM 00206R102 22,119,337 602,871 SH DEFINED 4 156,131 0 446,740 AT&T INC COM 00206R102 8,228,907 224,282 SH DEFINED 5 224,282 0 0 AT&T INC COM 00206R102 13,530,171 368,770 SH DEFINED 6 368,770 0 0 AT&T INC COM 00206R102 13,432,649 366,112 SH DEFINED 7 363,342 0 2,770 ATLANTIC TELE NETWORK INC COM NEW 049079205 828,066 17,070 SH SOLE 17,070 0 0 ATLAS AIR WORLDWIDE HLDGS IN COM NEW 049164205 33,957,604 833,111 SH SOLE 833,111 0 0 ATLAS AIR WORLDWIDE HLDGS IN COM NEW 049164205 2,869,382 70,397 SH DEFINED 1 19,902 0 50,495 ATMEL CORP COM 049513104 1,717,064 246,740 SH SOLE 246,740 0 0 ATMEL CORP COM 049513104 146,974 21,120 SH DEFINED 4 21,120 0 0
*Please note a de minimis portion of these shares may have non voting authority **13F Filing Report NOTE: Positions of interlisted Canadian issuers are aggregates of purchases made on US and CDN exchanges. Page 5 of 49 MFS 13F REPORT [MFS LOGO] AS OF DATE: 3/31/13 ATMOS ENERGY CORP COM 049560105 14,809,759 346,914 SH DEFINED 4 0 0 346,914 ATRICURE INC COM 04963C209 1,104,602 139,470 SH SOLE 139,470 0 0 ATWOOD OCEANICS INC COM 050095108 48,619,255 925,376 SH SOLE 925,376 0 0 ATWOOD OCEANICS INC COM 050095108 4,388,666 83,530 SH DEFINED 1 23,430 0 60,100 AUTODESK INC COM 052769106 54,500,366 1,321,221 SH SOLE 1,259,441 0 61,780 AUTODESK INC COM 052769106 58,970,546 1,429,589 SH DEFINED 1 1,142,127 0 287,462 AUTODESK INC COM 052769106 21,352,444 517,635 SH DEFINED 2 517,635 0 0 AUTODESK INC COM 052769106 5,659,088 137,190 SH DEFINED 3 137,190 0 0 AUTODESK INC COM 052769106 31,797,728 770,854 SH DEFINED 4 581,654 0 189,200 AUTODESK INC COM 052769106 42,607,290 1,032,904 SH DEFINED 5 994,494 0 38,410 AUTODESK INC COM 052769106 1,646,824 39,923 SH DEFINED 6 39,923 0 0 AUTOZONE INC COM 053332102 104,664,752 263,792 SH SOLE 263,792 0 0 AUTOZONE INC COM 053332102 4,504,927 11,354 SH DEFINED 1 11,354 0 0 AUTOZONE INC COM 053332102 170,611 430 SH DEFINED 4 430 0 0 AUTOZONE INC COM 053332102 196,798 496 SH DEFINED 7 496 0 0 AUXILIUM PHARMACEUTICALS INC COM 05334D107 1,557,483 90,080 SH SOLE 90,080 0 0 AVALONBAY CMNTYS INC COM 053484101 25,246,091 199,306 SH SOLE 199,306 0 0 AVG TECHNOLOGIES N V SHS N07831105 666,768 47,900 SH SOLE 47,900 0 0 AVID TECHNOLOGY INC COM 05367P100 126,403 20,160 SH SOLE 20,160 0 0 AXIALL CORP COM 05463D100 1,057,963 17,020 SH SOLE 17,020 0 0 BALL CORP COM 058498106 36,751,886 772,423 SH SOLE 772,423 0 0 BANCO SANTANDER CHILE NEW SP ADR REP COM 05965X109 30,170,684 1,059,736 SH SOLE 1,059,736 0 0 BANCO SANTANDER CHILE NEW SP ADR REP COM 05965X109 21,355,091 750,091 SH DEFINED 1 212,576 0 537,515 BANCO SANTANDER CHILE NEW SP ADR REP COM 05965X109 5,449,585 191,415 SH DEFINED 4 0 0 191,415 BANCO SANTANDER CHILE NEW SP ADR REP COM 05965X109 10,810,458 379,714 SH DEFINED 6 379,714 0 0 BANCO SANTANDER CHILE NEW SP ADR REP COM 05965X109 395,192 13,881 SH DEFINED 7 13,881 0 0 BANCO SANTANDER SA ADR 05964H105 2,602,476 382,155 SH SOLE 382,155 0 0 BANCO SANTANDER SA ADR 05964H105 132,591 19,470 SH DEFINED 7 14,360 0 5,110 BANCORPSOUTH INC COM 059692103 3,042,395 186,650 SH SOLE 186,650 0 0 BANK NEW YORK MELLON CORP COM 064058100 816,783,691 29,181,268 SH SOLE 26,770,678 0 2,410,590 BANK NEW YORK MELLON CORP COM 064058100 577,387,712 20,628,357 SH DEFINED 1 14,383,212 0 6,245,145 BANK NEW YORK MELLON CORP COM 064058100 93,095,580 3,326,030 SH DEFINED 2 3,326,030 0 0 BANK NEW YORK MELLON CORP COM 064058100 20,349,822 727,039 SH DEFINED 3 727,039 0 0 BANK NEW YORK MELLON CORP COM 064058100 211,159,947 7,544,121 SH DEFINED 4 6,071,194 0 1,472,927 BANK NEW YORK MELLON CORP COM 064058100 166,515,673 5,949,113 SH DEFINED 5 5,748,379 0 200,734 BANK NEW YORK MELLON CORP COM 064058100 17,606,102 629,014 SH DEFINED 6 629,014 0 0 BANK NEW YORK MELLON CORP COM 064058100 13,036,762 465,765 SH DEFINED 7 463,005 0 2,760 BANK NOVA SCOTIA HALIFAX COM 064149107 68,176 1,170 SH DEFINED 1 1,170 0 0 BANK NOVA SCOTIA HALIFAX COM 064149107 312,619,832 5,365,022 SH DEFINED 7 5,085,457 0 279,565 BANK OF AMERICA CORPORATION COM 060505104 107,935,396 8,861,691 SH SOLE 7,957,231 0 904,460 BANK OF AMERICA CORPORATION COM 060505104 3,545,963 291,130 SH DEFINED 1 0 0 291,130 BANK OF AMERICA CORPORATION COM 060505104 13,128,749 1,077,894 SH DEFINED 4 638,284 0 439,610 BANK OF AMERICA CORPORATION COM 060505104 14,370,208 1,179,820 SH DEFINED 7 1,168,030 0 11,790 BARCLAYS PLC ADR 06738E204 6,620,164 372,757 SH SOLE 372,757 0 0 BARCLAYS PLC ADR 06738E204 1,043,027 58,729 SH DEFINED 7 58,729 0 0
*Please note a de minimis portion of these shares may have non voting authority **13F Filing Report NOTE: Positions of interlisted Canadian issuers are aggregates of purchases made on US and CDN exchanges. Page 6 of 49 MFS 13F REPORT [MFS LOGO] AS OF DATE: 3/31/13 BARRETT BUSINESS SERVICES IN COM 068463108 1,084,269 20,590 SH SOLE 20,590 0 0 BARRICK GOLD CORP COM 067901108 17,934 610 SH DEFINED 1 610 0 0 BARRICK GOLD CORP COM 067901108 115,323,470 3,922,567 SH DEFINED 7 3,724,597 0 197,970 BASIC ENERGY SVCS INC NEW COM 06985P100 18,874,442 1,380,720 SH SOLE 1,380,720 0 0 BASIC ENERGY SVCS INC NEW COM 06985P100 1,754,408 128,340 SH DEFINED 1 35,630 0 92,710 BAXTER INTL INC COM 071813109 41,861,270 576,284 SH SOLE 526,604 0 49,680 BAXTER INTL INC COM 071813109 2,388,403 32,880 SH DEFINED 1 0 0 32,880 BAXTER INTL INC COM 071813109 8,998,498 123,878 SH DEFINED 4 73,268 0 50,610 BAXTER INTL INC COM 071813109 9,882,672 136,050 SH DEFINED 7 134,660 0 1,390 BCE INC COM NEW 05534B760 28,948 620 SH DEFINED 1 620 0 0 BCE INC COM NEW 05534B760 17,731,041 379,761 SH DEFINED 7 373,691 0 6,070 BEACON ROOFING SUPPLY INC COM 073685109 1,284,169 33,217 SH SOLE 33,217 0 0 BEAM INC COM 073730103 16,260,521 255,910 SH SOLE 255,910 0 0 BECTON DICKINSON & CO COM 075887109 252,222,526 2,638,035 SH SOLE 2,458,332 0 179,703 BECTON DICKINSON & CO COM 075887109 34,694,096 362,871 SH DEFINED 1 241,511 0 121,360 BECTON DICKINSON & CO COM 075887109 1,228,684 12,851 SH DEFINED 5 12,851 0 0 BECTON DICKINSON & CO COM 075887109 4,221,755 44,156 SH DEFINED 6 44,156 0 0 BECTON DICKINSON & CO COM 075887109 93,411 977 SH DEFINED 7 977 0 0 BED BATH & BEYOND INC COM 075896100 40,068,596 621,990 SH SOLE 621,990 0 0 BED BATH & BEYOND INC COM 075896100 2,504,650 38,880 SH DEFINED 1 38,880 0 0 BED BATH & BEYOND INC COM 075896100 170,713 2,650 SH DEFINED 4 2,650 0 0 BEMIS INC COM 081437105 10,567,055 261,820 SH SOLE 261,820 0 0 BERKSHIRE HATHAWAY INC DEL CL B NEW 084670702 5,138,102 49,310 SH SOLE 49,310 0 0 BERKSHIRE HATHAWAY INC DEL CL B NEW 084670702 2,968,033 28,484 SH DEFINED 1 28,484 0 0 BERKSHIRE HATHAWAY INC DEL CL B NEW 084670702 245,704 2,358 SH DEFINED 6 2,358 0 0 BERKSHIRE HILLS BANCORP INC COM 084680107 3,166,449 123,980 SH SOLE 123,980 0 0 BIG 5 SPORTING GOODS CORP COM 08915P101 737,416 47,240 SH SOLE 47,240 0 0 BIOGEN IDEC INC COM 09062X103 159,843,469 829,847 SH SOLE 829,847 0 0 BIOGEN IDEC INC COM 09062X103 5,390,415 27,985 SH DEFINED 1 27,985 0 0 BIOGEN IDEC INC COM 09062X103 516,794 2,683 SH DEFINED 7 2,683 0 0 BIOMED REALTY TRUST INC COM 09063H107 24,286,781 1,124,388 SH SOLE 1,124,388 0 0 BLACK HILLS CORP COM 092113109 1,004,112 22,800 SH SOLE 22,800 0 0 BLACKBAUD INC COM 09227Q100 8,716,257 294,170 SH SOLE 294,170 0 0 BLACKBAUD INC COM 09227Q100 775,417 26,170 SH DEFINED 1 7,350 0 18,820 BLACKROCK INC COM 09247X101 821,268,222 3,197,089 SH SOLE 2,996,327 0 200,762 BLACKROCK INC COM 09247X101 102,664,661 399,660 SH DEFINED 1 229,423 0 170,237 BLACKROCK INC COM 09247X101 34,491,791 134,272 SH DEFINED 4 57,128 0 77,144 BLACKROCK INC COM 09247X101 6,196,459 24,122 SH DEFINED 5 24,122 0 0 BLACKROCK INC COM 09247X101 9,481,184 36,909 SH DEFINED 6 36,909 0 0 BLACKROCK INC COM 09247X101 37,630,351 146,490 SH DEFINED 7 145,439 0 1,051 BLOOMIN BRANDS INC COM 094235108 4,062,614 227,470 SH SOLE 227,470 0 0 BMC SOFTWARE INC COM 055921100 1,664,174 35,920 SH SOLE 35,920 0 0 BMC SOFTWARE INC COM 055921100 142,696 3,080 SH DEFINED 4 3,080 0 0 BORGWARNER INC COM 099724106 48,420,176 626,069 SH SOLE 626,069 0 0 BORGWARNER INC COM 099724106 1,061,801 13,729 SH DEFINED 1 13,729 0 0
*Please note a de minimis portion of these shares may have non voting authority **13F Filing Report NOTE: Positions of interlisted Canadian issuers are aggregates of purchases made on US and CDN exchanges. Page 7 of 49 MFS 13F REPORT [MFS LOGO] AS OF DATE: 3/31/13 BORGWARNER INC COM 099724106 98,918 1,279 SH DEFINED 7 1,279 0 0 BOSTON PROPERTIES INC COM 101121101 20,344,591 201,312 SH SOLE 201,312 0 0 BP PLC SPONSORED ADR 055622104 5,577,876 131,709 SH SOLE 131,709 0 0 BP PLC SPONSORED ADR 055622104 411,134 9,708 SH DEFINED 7 7,178 0 2,530 BRIGHT HORIZONS FAM SOL IN D COM 109194100 56,093,090 1,660,050 SH SOLE 1,660,050 0 0 BRIGHT HORIZONS FAM SOL IN D COM 109194100 3,975,394 117,650 SH DEFINED 1 33,080 0 84,570 BRISTOL MYERS SQUIBB CO COM 110122108 83,876,762 2,036,338 SH SOLE 2,036,338 0 0 BRISTOL MYERS SQUIBB CO COM 110122108 2,801,332 68,010 SH DEFINED 1 68,010 0 0 BRISTOL MYERS SQUIBB CO COM 110122108 266,499 6,470 SH DEFINED 7 6,470 0 0 BROADCOM CORP CL A 111320107 40,819,992 1,177,081 SH SOLE 1,177,081 0 0 BROADCOM CORP CL A 111320107 1,427,838 41,173 SH DEFINED 1 41,173 0 0 BROADCOM CORP CL A 111320107 74,213 2,140 SH DEFINED 4 2,140 0 0 BROADCOM CORP CL A 111320107 134,901 3,890 SH DEFINED 7 3,890 0 0 BROOKDALE SR LIVING INC COM 112463104 14,032,757 503,327 SH SOLE 503,327 0 0 BROOKDALE SR LIVING INC COM 112463104 1,455,448 52,204 SH DEFINED 1 15,931 0 36,273 BROOKFIELD ASSET MGMT INC CL A LTD VT SH 112585104 8,758 240 SH DEFINED 1 240 0 0 BROOKFIELD ASSET MGMT INC CL A LTD VT SH 112585104 60,735,817 1,664,451 SH DEFINED 7 1,529,161 0 135,290 BROOKLINE BANCORP INC DEL COM 11373M107 2,903,275 317,645 SH SOLE 317,645 0 0 BRUNSWICK CORP COM 117043109 13,757,467 402,030 SH SOLE 402,030 0 0 BRUNSWICK CORP COM 117043109 59,372 1,735 SH DEFINED 1 1,735 0 0 BT GROUP PLC ADR 05577E101 1,481,263 35,243 SH SOLE 35,243 0 0 BT GROUP PLC ADR 05577E101 512,724 12,199 SH DEFINED 7 12,199 0 0 BUNGE LIMITED COM G16962105 16,730,616 226,610 SH SOLE 226,610 0 0 BUNGE LIMITED COM G16962105 405,622 5,494 SH DEFINED 1 184 0 5,310 C&J ENERGY SVCS INC COM 12467B304 2,861,813 124,970 SH SOLE 124,970 0 0 CABOT CORP COM 127055101 1,244,538 36,390 SH SOLE 36,390 0 0 CABOT OIL & GAS CORP COM 127097103 272,194,412 4,025,949 SH SOLE 3,976,209 0 49,740 CABOT OIL & GAS CORP COM 127097103 12,216,045 180,684 SH DEFINED 1 121,109 0 59,575 CABOT OIL & GAS CORP COM 127097103 256,918 3,800 SH DEFINED 4 3,800 0 0 CABOT OIL & GAS CORP COM 127097103 15,926,009 235,557 SH DEFINED 7 235,557 0 0 CACI INTL INC CL A 127190304 950,804 16,430 SH SOLE 16,430 0 0 CAE INC COM 124765108 17,407,209 1,781,700 SH DEFINED 7 1,781,700 0 0 CAI INTERNATIONAL INC COM 12477X106 5,434,011 188,550 SH SOLE 188,550 0 0 CALLAWAY GOLF CO COM 131193104 3,027,002 457,251 SH SOLE 457,251 0 0 CALPINE CORP COM NEW 131347304 202,536,007 9,831,845 SH SOLE 9,103,905 0 727,940 CALPINE CORP COM NEW 131347304 1,635,001 79,369 SH DEFINED 1 79,369 0 0 CAMECO CORP COM 13321L108 55,203,400 2,656,564 SH DEFINED 7 2,463,114 0 193,450 CAMERON INTERNATIONAL CORP COM 13342B105 182,603,880 2,800,673 SH SOLE 2,725,823 0 74,850 CAMERON INTERNATIONAL CORP COM 13342B105 9,116,264 139,820 SH DEFINED 1 93,340 0 46,480 CAMERON INTERNATIONAL CORP COM 13342B105 12,404,952 190,260 SH DEFINED 4 114,060 0 76,200 CAMERON INTERNATIONAL CORP COM 13342B105 13,568,120 208,100 SH DEFINED 7 206,040 0 2,060 CANADIAN NAT RES LTD COM 136385101 19,478,170 606,230 SH SOLE 529,410 0 76,820 CANADIAN NAT RES LTD COM 136385101 32,130 1,000 SH DEFINED 1 1,000 0 0 CANADIAN NAT RES LTD COM 136385101 215,771,007 6,715,562 SH DEFINED 7 6,427,632 0 287,930 CANADIAN NATL RY CO COM 136375102 679,671,616 6,776,387 SH SOLE 6,432,461 0 343,926
*Please note a de minimis portion of these shares may have non voting authority **13F Filing Report NOTE: Positions of interlisted Canadian issuers are aggregates of purchases made on US and CDN exchanges. Page 8 of 49 MFS 13F REPORT [MFS LOGO] AS OF DATE: 3/31/13 CANADIAN NATL RY CO COM 136375102 726,470,994 7,242,981 SH DEFINED 1 4,703,912 0 2,539,069 CANADIAN NATL RY CO COM 136375102 106,117,400 1,058,000 SH DEFINED 2 1,058,000 0 0 CANADIAN NATL RY CO COM 136375102 22,917,246 228,487 SH DEFINED 3 228,487 0 0 CANADIAN NATL RY CO COM 136375102 251,872,558 2,511,192 SH DEFINED 4 1,937,826 0 573,366 CANADIAN NATL RY CO COM 136375102 181,732,066 1,811,885 SH DEFINED 5 1,748,995 0 62,890 CANADIAN NATL RY CO COM 136375102 54,739,929 545,762 SH DEFINED 6 545,762 0 0 CANADIAN NATL RY CO COM 136375102 210,583,260 2,099,534 SH DEFINED 7 1,984,234 0 115,300 CANADIAN PAC RY LTD COM 13645T100 1,501,710 11,510 SH SOLE 11,510 0 0 CANADIAN PAC RY LTD COM 13645T100 7,176 55 SH DEFINED 1 55 0 0 CANON INC SPONSORED ADR 138006309 3,437,926 93,702 SH SOLE 93,702 0 0 CANON INC SPONSORED ADR 138006309 4,432,592 120,812 SH DEFINED 7 120,812 0 0 CAPITAL SR LIVING CORP COM 140475104 2,526,708 95,600 SH SOLE 95,600 0 0 CAPITAL SR LIVING CORP COM 140475104 230,734 8,730 SH DEFINED 1 2,540 0 6,190 CAPITALSOURCE INC COM 14055X102 1,498,411 155,760 SH SOLE 155,760 0 0 CAPITALSOURCE INC COM 14055X102 13,179 1,370 SH DEFINED 1 1,370 0 0 CAPSTEAD MTG CORP COM NO PAR 14067E506 2,478,901 193,362 SH SOLE 193,362 0 0 CARDIOVASCULAR SYS INC DEL COM 141619106 15,633,408 763,350 SH SOLE 763,350 0 0 CARDIOVASCULAR SYS INC DEL COM 141619106 1,390,797 67,910 SH DEFINED 1 19,100 0 48,810 CARMIKE CINEMAS INC COM 143436400 852,908 47,070 SH SOLE 47,070 0 0 CARTER INC COM 146229109 1,146,545 20,020 SH SOLE 20,020 0 0 CATAMARAN CORP COM 148887102 100,882,469 1,902,366 SH SOLE 1,902,366 0 0 CATAMARAN CORP COM 148887102 2,828,090 53,330 SH DEFINED 1 53,330 0 0 CATAMARAN CORP COM 148887102 262,392 4,948 SH DEFINED 7 4,948 0 0 CATHAY GENERAL BANCORP COM 149150104 2,867,824 142,536 SH SOLE 142,536 0 0 CBEYOND INC COM 149847105 696,414 93,730 SH SOLE 93,730 0 0 CBS CORP NEW CL B 124857202 9,860,321 211,187 SH SOLE 211,187 0 0 CBS CORP NEW CL B 124857202 9,805 210 SH DEFINED 1 210 0 0 CDN IMPERIAL BK OF COMMERCE COM 136069101 31,372 400 SH DEFINED 1 400 0 0 CDN IMPERIAL BK OF COMMERCE COM 136069101 56,757,438 723,670 SH DEFINED 7 721,450 0 2,220 CELADON GROUP INC COM 150838100 16,726,174 801,830 SH SOLE 801,830 0 0 CELADON GROUP INC COM 150838100 1,220,727 58,520 SH DEFINED 1 16,430 0 42,090 CELANESE CORP DEL COM SER A 150870103 123,733,014 2,808,922 SH SOLE 2,664,412 0 144,510 CELANESE CORP DEL COM SER A 150870103 3,165,874 71,870 SH DEFINED 1 68,330 0 3,540 CELANESE CORP DEL COM SER A 150870103 9,202,926 208,920 SH DEFINED 4 125,330 0 83,590 CELANESE CORP DEL COM SER A 150870103 15,361,204 348,722 SH DEFINED 7 346,462 0 2,260 CELGENE CORP COM 151020104 238,290,444 2,055,823 SH SOLE 2,023,303 0 32,520 CELGENE CORP COM 151020104 11,013,420 95,017 SH DEFINED 1 73,747 0 21,270 CELGENE CORP COM 151020104 9,706,303 83,740 SH DEFINED 4 49,730 0 34,010 CELGENE CORP COM 151020104 11,002,525 94,923 SH DEFINED 7 94,003 0 920 CELLCOM ISRAEL LTD SHS M2196U109 25,025,561 3,055,624 SH SOLE 2,815,974 0 239,650 CENOVUS ENERGY INC COM 15135U109 55,616,111 1,794,647 SH SOLE 1,794,647 0 0 CENOVUS ENERGY INC COM 15135U109 1,492,169 48,150 SH DEFINED 1 48,150 0 0 CENOVUS ENERGY INC COM 15135U109 716,179 23,110 SH DEFINED 6 23,110 0 0 CENOVUS ENERGY INC COM 15135U109 157,447,081 5,080,577 SH DEFINED 7 4,798,944 0 281,633 CENTENE CORP DEL COM 15135B101 6,210,080 141,010 SH SOLE 141,010 0 0
*Please note a de minimis portion of these shares may have non voting authority **13F Filing Report NOTE: Positions of interlisted Canadian issuers are aggregates of purchases made on US and CDN exchanges. Page 9 of 49 MFS 13F REPORT [MFS LOGO] AS OF DATE: 3/31/13 CENTERPOINT ENERGY INC COM 15189T107 96,434,304 4,024,804 SH SOLE 3,733,414 0 291,390 CENTERPOINT ENERGY INC COM 15189T107 11,093 463 SH DEFINED 1 463 0 0 CENTURYLINK INC COM 156700106 108,459,765 3,087,383 SH SOLE 2,853,218 0 234,165 CENTURYLINK INC COM 156700106 19,042,217 542,050 SH DEFINED 1 536,940 0 5,110 CENTURYLINK INC COM 156700106 1,565,639 44,567 SH DEFINED 6 44,567 0 0 CEPHEID COM 15670R107 35,134,872 915,686 SH SOLE 915,686 0 0 CEPHEID COM 15670R107 3,273,345 85,310 SH DEFINED 1 23,970 0 61,340 CERNER CORP COM 156782104 107,173,109 1,131,234 SH SOLE 1,131,234 0 0 CERNER CORP COM 156782104 4,269,269 45,063 SH DEFINED 1 45,063 0 0 CERNER CORP COM 156782104 112,741 1,190 SH DEFINED 4 1,190 0 0 CERNER CORP COM 156782104 251,629 2,656 SH DEFINED 7 2,656 0 0 CEVA INC COM 157210105 1,406,340 90,150 SH SOLE 90,150 0 0 CF INDS HLDGS INC COM 125269100 22,366,191 117,488 SH SOLE 117,488 0 0 CF INDS HLDGS INC COM 125269100 21,877,701 114,922 SH DEFINED 1 114,922 0 0 CF INDS HLDGS INC COM 125269100 1,822,793 9,575 SH DEFINED 6 9,575 0 0 CHARTER COMMUNICATIONS INC D CL A NEW 16117M305 18,307,551 175,730 SH SOLE 175,730 0 0 CHECK POINT SOFTWARE TECH LT ORD M22465104 208,686,114 4,441,075 SH SOLE 4,303,635 0 137,440 CHECK POINT SOFTWARE TECH LT ORD M22465104 95,263,203 2,027,308 SH DEFINED 1 1,641,907 0 385,401 CHECK POINT SOFTWARE TECH LT ORD M22465104 17,126,633 364,474 SH DEFINED 2 364,474 0 0 CHECK POINT SOFTWARE TECH LT ORD M22465104 4,560,849 97,060 SH DEFINED 3 97,060 0 0 CHECK POINT SOFTWARE TECH LT ORD M22465104 35,694,215 759,613 SH DEFINED 4 547,593 0 212,020 CHECK POINT SOFTWARE TECH LT ORD M22465104 34,810,944 740,816 SH DEFINED 5 714,056 0 26,760 CHECK POINT SOFTWARE TECH LT ORD M22465104 10,110,368 215,160 SH DEFINED 6 215,160 0 0 CHECK POINT SOFTWARE TECH LT ORD M22465104 19,762,490 420,568 SH DEFINED 7 413,918 0 6,650 CHENIERE ENERGY INC COM NEW 16411R208 16,525,600 590,200 SH SOLE 541,580 0 48,620 CHESAPEAKE UTILS CORP COM 165303108 542,984 11,070 SH SOLE 11,070 0 0 CHEVRON CORP NEW COM 166764100 1,036,375,963 8,722,235 SH SOLE 8,099,364 0 622,871 CHEVRON CORP NEW COM 166764100 204,129,671 1,717,974 SH DEFINED 1 1,198,810 0 519,164 CHEVRON CORP NEW COM 166764100 34,760,791 292,550 SH DEFINED 4 114,170 0 178,380 CHEVRON CORP NEW COM 166764100 8,330,589 70,111 SH DEFINED 5 70,111 0 0 CHEVRON CORP NEW COM 166764100 19,042,212 160,261 SH DEFINED 6 160,261 0 0 CHEVRON CORP NEW COM 166764100 28,004,805 235,691 SH DEFINED 7 233,511 0 2,180 CHILDRENS PL RETAIL STORES I COM 168905107 22,900,824 510,951 SH SOLE 510,951 0 0 CHINA UNICOM (HONG KONG) LTD SPONSORED ADR 16945R104 1,741,926 129,223 SH SOLE 129,223 0 0 CHINA UNICOM (HONG KONG) LTD SPONSORED ADR 16945R104 7,535 559 SH DEFINED 1 559 0 0 CHINA UNICOM (HONG KONG) LTD SPONSORED ADR 16945R104 256,174 19,004 SH DEFINED 7 19,004 0 0 CHIPOTLE MEXICAN GRILL INC COM 169656105 4,487,230 13,770 SH SOLE 13,770 0 0 CHUBB CORP COM 171232101 312,340,739 3,568,385 SH SOLE 3,312,713 0 255,672 CHUBB CORP COM 171232101 46,001,742 525,554 SH DEFINED 1 345,737 0 179,817 CHUBB CORP COM 171232101 1,602,324 18,306 SH DEFINED 5 18,306 0 0 CHUBB CORP COM 171232101 5,552,290 63,433 SH DEFINED 6 63,433 0 0 CHUBB CORP COM 171232101 125,693 1,436 SH DEFINED 7 1,436 0 0 CHURCH & DWIGHT INC COM 171340102 35,204,672 544,711 SH SOLE 544,711 0 0 CHURCH & DWIGHT INC COM 171340102 328,708 5,086 SH DEFINED 1 5,086 0 0 CHUYS HLDGS INC COM 171604101 32,127,464 986,110 SH SOLE 986,110 0 0
*Please note a de minimis portion of these shares may have non voting authority **13F Filing Report NOTE: Positions of interlisted Canadian issuers are aggregates of purchases made on US and CDN exchanges. Page 10 of 49 MFS 13F REPORT [MFS LOGO] AS OF DATE: 3/31/13 CHUYS HLDGS INC COM 171604101 2,501,167 76,770 SH DEFINED 1 21,860 0 54,910 CINEMARK HOLDINGS INC COM 17243V102 2,950,330 100,215 SH SOLE 100,215 0 0 CISCO SYS INC COM 17275R102 36,696,071 1,756,213 SH SOLE 1,558,278 0 197,935 CISCO SYS INC COM 17275R102 96,159,459 4,602,032 SH DEFINED 1 3,674,062 0 927,970 CISCO SYS INC COM 17275R102 35,257,220 1,687,352 SH DEFINED 2 1,687,352 0 0 CISCO SYS INC COM 17275R102 9,411,338 450,411 SH DEFINED 3 450,411 0 0 CISCO SYS INC COM 17275R102 51,448,400 2,462,235 SH DEFINED 4 1,847,465 0 614,770 CISCO SYS INC COM 17275R102 69,685,556 3,335,035 SH DEFINED 5 3,210,285 0 124,750 CISCO SYS INC COM 17275R102 2,696,458 129,048 SH DEFINED 6 129,048 0 0 CIT GROUP INC COM NEW 125581801 17,196,340 395,500 SH SOLE 395,500 0 0 CITI TRENDS INC COM 17306X102 21,180,888 2,070,468 SH SOLE 2,070,468 0 0 CITI TRENDS INC COM 17306X102 1,645,496 160,850 SH DEFINED 1 52,280 0 108,570 CITIGROUP INC COM NEW 172967424 111,543,639 2,521,330 SH SOLE 2,521,330 0 0 CITIGROUP INC COM NEW 172967424 48,194,702 1,089,392 SH DEFINED 1 1,067,322 0 22,070 CITIGROUP INC COM NEW 172967424 516,281 11,670 SH DEFINED 4 11,670 0 0 CITIGROUP INC COM NEW 172967424 3,304,905 74,704 SH DEFINED 6 74,704 0 0 CITRIX SYS INC COM 177376100 173,459,928 2,404,157 SH SOLE 2,369,397 0 34,760 CITRIX SYS INC COM 177376100 7,824,307 108,445 SH DEFINED 1 84,175 0 24,270 CITRIX SYS INC COM 177376100 6,779,214 93,960 SH DEFINED 4 58,410 0 35,550 CITRIX SYS INC COM 177376100 12,734,186 176,496 SH DEFINED 7 175,556 0 940 CLIFFS NAT RES INC COM 18683K101 6,065,007 319,043 SH SOLE 319,043 0 0 CLIFFS NAT RES INC COM 18683K101 1,092,486 57,469 SH DEFINED 1 57,469 0 0 CLIFFS NAT RES INC COM 18683K101 102,844 5,410 SH DEFINED 7 3,990 0 1,420 CME GROUP INC COM 12572Q105 24,735,641 402,795 SH SOLE 402,795 0 0 CME GROUP INC COM 12572Q105 241,710 3,936 SH DEFINED 1 3,936 0 0 CMS ENERGY CORP COM 125896100 386,107,526 13,819,167 SH SOLE 12,923,977 0 895,190 CMS ENERGY CORP COM 125896100 7,364,425 263,580 SH DEFINED 1 123,470 0 140,110 CMS ENERGY CORP COM 125896100 46,512,947 1,664,744 SH DEFINED 4 327,240 0 1,337,504 CMS ENERGY CORP COM 125896100 34,489,192 1,234,402 SH DEFINED 7 1,228,372 0 6,030 COCA COLA CO COM 191216100 110,243,403 2,726,098 SH SOLE 2,638,038 0 88,060 COCA COLA CO COM 191216100 16,622,983 411,053 SH DEFINED 1 411,053 0 0 COCA COLA CO COM 191216100 429,068 10,610 SH DEFINED 4 10,610 0 0 COCA COLA CO COM 191216100 688,289 17,020 SH DEFINED 6 17,020 0 0 COCA COLA ENTERPRISES INC NE COM 19122T109 183,831,547 4,979,186 SH SOLE 4,742,436 0 236,750 COCA COLA ENTERPRISES INC NE COM 19122T109 48,629,289 1,317,153 SH DEFINED 1 1,145,863 0 171,290 COCA COLA ENTERPRISES INC NE COM 19122T109 622,840 16,870 SH DEFINED 5 16,870 0 0 COCA COLA ENTERPRISES INC NE COM 19122T109 4,322,224 117,070 SH DEFINED 6 117,070 0 0 COCA COLA ENTERPRISES INC NE COM 19122T109 49,473 1,340 SH DEFINED 7 1,340 0 0 COEUR D ALENE MINES CORP IDA COM NEW 192108504 655,762 34,770 SH SOLE 34,770 0 0 COGNIZANT TECHNOLOGY SOLUTIO CL A 192446102 338,331,059 4,415,644 SH SOLE 4,337,184 0 78,460 COGNIZANT TECHNOLOGY SOLUTIO CL A 192446102 50,426,809 658,133 SH DEFINED 1 540,905 0 117,228 COGNIZANT TECHNOLOGY SOLUTIO CL A 192446102 25,943,794 338,599 SH DEFINED 4 271,479 0 67,120 COGNIZANT TECHNOLOGY SOLUTIO CL A 192446102 6,548,184 85,462 SH DEFINED 5 85,462 0 0 COGNIZANT TECHNOLOGY SOLUTIO CL A 192446102 2,407,355 31,419 SH DEFINED 6 31,419 0 0 COGNIZANT TECHNOLOGY SOLUTIO CL A 192446102 27,289,335 356,160 SH DEFINED 7 348,390 0 7,770
*Please note a de minimis portion of these shares may have non voting authority **13F Filing Report NOTE: Positions of interlisted Canadian issuers are aggregates of purchases made on US and CDN exchanges. Page 11 of 49 MFS 13F REPORT [MFS LOGO] AS OF DATE: 3/31/13 COLGATE PALMOLIVE CO COM 194162103 405,763,534 3,437,800 SH SOLE 3,316,472 0 121,328 COLGATE PALMOLIVE CO COM 194162103 261,604,879 2,216,427 SH DEFINED 1 1,832,402 0 384,025 COLGATE PALMOLIVE CO COM 194162103 72,341,059 612,904 SH DEFINED 2 612,904 0 0 COLGATE PALMOLIVE CO COM 194162103 19,316,318 163,656 SH DEFINED 3 163,656 0 0 COLGATE PALMOLIVE CO COM 194162103 129,885,995 1,100,449 SH DEFINED 4 826,489 0 273,960 COLGATE PALMOLIVE CO COM 194162103 148,000,060 1,253,919 SH DEFINED 5 1,208,559 0 45,360 COLGATE PALMOLIVE CO COM 194162103 5,562,400 47,127 SH DEFINED 6 47,127 0 0 COLGATE PALMOLIVE CO COM 194162103 27,219,606 230,616 SH DEFINED 7 219,996 0 10,620 COLUMBUS MCKINNON CORP N Y COM 199333105 3,153,343 163,810 SH SOLE 163,810 0 0 COMCAST CORP NEW CL A 20030N101 100,847,043 2,402,264 SH SOLE 2,243,124 0 159,140 COMCAST CORP NEW CL A SPL 20030N200 1,041,753,932 26,300,276 SH SOLE 24,694,452 0 1,605,824 COMCAST CORP NEW CL A 20030N101 34,315,208 817,418 SH DEFINED 1 717,598 0 99,820 COMCAST CORP NEW CL A SPL 20030N200 79,200,195 1,999,500 SH DEFINED 1 1,269,683 0 729,817 COMCAST CORP NEW CL A 20030N101 16,630,377 396,150 SH DEFINED 4 234,210 0 161,940 COMCAST CORP NEW CL A SPL 20030N200 7,703,353 194,480 SH DEFINED 4 8,060 0 186,420 COMCAST CORP NEW CL A SPL 20030N200 4,530,552 114,379 SH DEFINED 5 114,379 0 0 COMCAST CORP NEW CL A 20030N101 2,501,588 59,590 SH DEFINED 6 59,590 0 0 COMCAST CORP NEW CL A SPL 20030N200 7,371,342 186,098 SH DEFINED 6 186,098 0 0 COMCAST CORP NEW CL A 20030N101 18,252,484 434,790 SH DEFINED 7 430,370 0 4,420 COMCAST CORP NEW CL A SPL 20030N200 15,218,004 384,196 SH DEFINED 7 384,196 0 0 COMERICA INC COM 200340107 16,239,873 451,735 SH SOLE 451,735 0 0 COMMUNITY HEALTH SYS INC NEW COM 203668108 22,598,632 476,865 SH SOLE 476,865 0 0 COMMUNITY HEALTH SYS INC NEW COM 203668108 1,803,569 38,058 SH DEFINED 1 11,818 0 26,240 COMMVAULT SYSTEMS INC COM 204166102 49,552,600 604,300 SH SOLE 604,300 0 0 COMMVAULT SYSTEMS INC COM 204166102 2,799,316 34,138 SH DEFINED 1 10,288 0 23,850 COMPANHIA DE BEBIDAS DAS AME SPON ADR PFD 20441W203 45,710,431 1,079,859 SH SOLE 1,079,859 0 0 COMPANHIA DE BEBIDAS DAS AME SPON ADR PFD 20441W203 11,780,016 278,290 SH DEFINED 1 176,750 0 101,540 COMPANHIA DE BEBIDAS DAS AME SPON ADR PFD 20441W203 4,004,418 94,600 SH DEFINED 6 94,600 0 0 COMPANHIA DE BEBIDAS DAS AME SPON ADR PFD 20441W203 135,879 3,210 SH DEFINED 7 3,210 0 0 COMPANHIA PARANAENSE ENERG C SPON ADR PFD 20441B407 26,047,210 1,683,724 SH SOLE 1,551,194 0 132,530 COMPANIA CERVECERIAS UNIDAS SPONSORED ADR 204429104 3,149,117 95,197 SH SOLE 95,197 0 0 COMPANIA CERVECERIAS UNIDAS SPONSORED ADR 204429104 1,566,669 47,360 SH DEFINED 1 0 0 47,360 COMPUTER SCIENCES CORP COM 205363104 2,672,697 54,290 SH SOLE 54,290 0 0 COMPUTER SCIENCES CORP COM 205363104 1,749,536 35,538 SH DEFINED 1 35,538 0 0 COMPUTER TASK GROUP INC COM 205477102 767,901 35,900 SH SOLE 35,900 0 0 COMTECH TELECOMMUNICATIONS C COM NEW 205826209 654,103 26,940 SH SOLE 26,940 0 0 CONCEPTUS INC COM 206016107 49,044,206 2,030,816 SH SOLE 2,030,816 0 0 CONCEPTUS INC COM 206016107 4,358,351 180,470 SH DEFINED 1 51,871 0 128,599 CONCHO RES INC COM 20605P101 14,169,245 145,430 SH SOLE 145,430 0 0 CONCUR TECHNOLOGIES INC COM 206708109 28,362,759 413,090 SH SOLE 413,090 0 0 CONCUR TECHNOLOGIES INC COM 206708109 2,569,944 37,430 SH DEFINED 1 10,570 0 26,860 CONMED CORP COM 207410101 1,285,424 37,740 SH SOLE 37,740 0 0 CONSOL ENERGY INC COM 20854P109 6,829,469 202,956 SH SOLE 202,956 0 0 CONSTANT CONTACT INC COM 210313102 41,535,494 3,199,961 SH SOLE 3,199,961 0 0 CONSTANT CONTACT INC COM 210313102 3,829,619 295,040 SH DEFINED 1 81,880 0 213,160
*Please note a de minimis portion of these shares may have non voting authority **13F Filing Report NOTE: Positions of interlisted Canadian issuers are aggregates of purchases made on US and CDN exchanges. Page 12 of 49 MFS 13F REPORT [MFS LOGO] AS OF DATE: 3/31/13 COOPER COS INC COM NEW 216648402 81,010,113 750,928 SH SOLE 750,928 0 0 COOPER COS INC COM NEW 216648402 1,528,012 14,164 SH DEFINED 1 14,164 0 0 COOPER COS INC COM NEW 216648402 143,265 1,328 SH DEFINED 7 1,328 0 0 COPA HOLDINGS SA CL A P31076105 97,985,588 819,209 SH SOLE 811,559 0 7,650 COPA HOLDINGS SA CL A P31076105 19,476,216 162,831 SH DEFINED 1 130,128 0 32,703 COPA HOLDINGS SA CL A P31076105 23,459,827 196,136 SH DEFINED 6 196,136 0 0 COPA HOLDINGS SA CL A P31076105 816,936 6,830 SH DEFINED 7 6,830 0 0 CORE LABORATORIES N V COM N22717107 10,513,642 76,230 SH SOLE 76,230 0 0 CORE MARK HOLDING CO INC COM 218681104 486,932 9,490 SH SOLE 9,490 0 0 CORELOGIC INC COM 21871D103 9,966,961 385,420 SH SOLE 385,420 0 0 CORELOGIC INC COM 21871D103 15,709,355 607,477 SH DEFINED 1 607,477 0 0 CORELOGIC INC COM 21871D103 1,308,775 50,610 SH DEFINED 6 50,610 0 0 CORPORATE OFFICE PPTYS TR SH BEN INT 22002T108 12,138,626 454,971 SH SOLE 454,971 0 0 COSTCO WHSL CORP NEW COM 22160K105 111,457,307 1,050,394 SH SOLE 1,050,394 0 0 COSTCO WHSL CORP NEW COM 22160K105 3,917,157 36,916 SH DEFINED 1 36,916 0 0 COSTCO WHSL CORP NEW COM 22160K105 369,687 3,484 SH DEFINED 7 3,484 0 0 COTT CORP QUE COM 22163N106 1,548,360 153,000 SH DEFINED 7 153,000 0 0 COVIDIEN PLC SHS G2554F113 388,207,345 5,722,396 SH SOLE 5,470,386 0 252,010 COVIDIEN PLC SHS G2554F113 15,869,268 233,922 SH DEFINED 1 142,032 0 91,890 COVIDIEN PLC SHS G2554F113 24,728,358 364,510 SH DEFINED 4 216,520 0 147,990 COVIDIEN PLC SHS G2554F113 42,204,553 622,119 SH DEFINED 7 618,119 0 4,000 CREDICORP LTD COM G2519Y108 124,162,393 747,741 SH SOLE 735,201 0 12,540 CREDICORP LTD COM G2519Y108 110,121,703 663,184 SH DEFINED 1 426,518 0 236,666 CREDICORP LTD COM G2519Y108 15,342,190 92,395 SH DEFINED 2 92,395 0 0 CREDICORP LTD COM G2519Y108 4,109,904 24,751 SH DEFINED 3 24,751 0 0 CREDICORP LTD COM G2519Y108 36,755,500 221,352 SH DEFINED 4 120,439 0 100,913 CREDICORP LTD COM G2519Y108 32,576,353 196,184 SH DEFINED 5 189,324 0 6,860 CREDICORP LTD COM G2519Y108 22,616,010 136,200 SH DEFINED 6 136,200 0 0 CREDICORP LTD COM G2519Y108 5,325,722 32,073 SH DEFINED 7 29,313 0 2,760 CROSS CTRY HEALTHCARE INC COM 227483104 2,410,071 453,874 SH SOLE 453,874 0 0 CUMMINS INC COM 231021106 67,256,658 580,750 SH SOLE 580,750 0 0 CUMMINS INC COM 231021106 28,239,574 243,844 SH DEFINED 1 242,144 0 1,700 CUMMINS INC COM 231021106 2,156,151 18,618 SH DEFINED 6 18,618 0 0 CUMMINS INC COM 231021106 103,071 890 SH DEFINED 7 890 0 0 CVB FINL CORP COM 126600105 1,220,766 108,320 SH SOLE 108,320 0 0 CVR ENERGY INC COM 12662P108 829,017 16,060 SH SOLE 16,060 0 0 CVS CAREMARK CORPORATION COM 126650100 921,651,647 16,760,350 SH SOLE 15,779,573 0 980,777 CVS CAREMARK CORPORATION COM 126650100 175,389,450 3,189,479 SH DEFINED 1 2,380,890 0 808,589 CVS CAREMARK CORPORATION COM 126650100 12,792,324 232,630 SH DEFINED 4 46,240 0 186,390 CVS CAREMARK CORPORATION COM 126650100 9,374,475 170,476 SH DEFINED 5 170,476 0 0 CVS CAREMARK CORPORATION COM 126650100 14,853,899 270,120 SH DEFINED 6 270,120 0 0 CVS CAREMARK CORPORATION COM 126650100 7,693,926 139,915 SH DEFINED 7 131,455 0 8,460 CYNOSURE INC CL A 232577205 436,254 16,670 SH SOLE 16,670 0 0 DANAHER CORP DEL COM 235851102 1,421,397,473 22,870,434 SH SOLE 21,825,829 0 1,044,605 DANAHER CORP DEL COM 235851102 171,517,717 2,759,738 SH DEFINED 1 2,053,537 0 706,201
*Please note a de minimis portion of these shares may have non voting authority **13F Filing Report NOTE: Positions of interlisted Canadian issuers are aggregates of purchases made on US and CDN exchanges. Page 13 of 49 MFS 13F REPORT [MFS LOGO] AS OF DATE: 3/31/13 DANAHER CORP DEL COM 235851102 51,372,133 826,583 SH DEFINED 4 471,423 0 355,160 DANAHER CORP DEL COM 235851102 10,973,018 176,557 SH DEFINED 5 176,557 0 0 DANAHER CORP DEL COM 235851102 9,387,820 151,051 SH DEFINED 6 151,051 0 0 DANAHER CORP DEL COM 235851102 79,067,852 1,272,210 SH DEFINED 7 1,246,900 0 25,310 DDR CORP COM 23317H102 21,881,488 1,256,113 SH SOLE 1,256,113 0 0 DDR CORP COM 23317H102 22,089 1,268 SH DEFINED 1 1,268 0 0 DELEK US HLDGS INC COM 246647101 993,997 25,190 SH SOLE 25,190 0 0 DELL INC COM 24702R101 5,478,359 382,300 SH SOLE 382,300 0 0 DELL INC COM 24702R101 444,947 31,050 SH DEFINED 1 31,050 0 0 DELL INC COM 24702R101 154,048 10,750 SH DEFINED 4 10,750 0 0 DELPHI AUTOMOTIVE PLC SHS G27823106 620,596,427 13,977,397 SH SOLE 13,260,439 0 716,958 DELPHI AUTOMOTIVE PLC SHS G27823106 236,268,872 5,321,371 SH DEFINED 1 4,191,155 0 1,130,216 DELPHI AUTOMOTIVE PLC SHS G27823106 44,179,199 995,027 SH DEFINED 2 995,027 0 0 DELPHI AUTOMOTIVE PLC SHS G27823106 9,121,492 205,439 SH DEFINED 3 205,439 0 0 DELPHI AUTOMOTIVE PLC SHS G27823106 67,694,371 1,524,648 SH DEFINED 4 1,097,008 0 427,640 DELPHI AUTOMOTIVE PLC SHS G27823106 88,026,996 1,982,590 SH DEFINED 5 1,909,510 0 73,080 DELPHI AUTOMOTIVE PLC SHS G27823106 9,918,827 223,397 SH DEFINED 6 223,397 0 0 DELPHI AUTOMOTIVE PLC SHS G27823106 21,996,293 495,412 SH DEFINED 7 493,562 0 1,850 DELTA AIR LINES INC DEL COM NEW 247361702 2,749,906 166,560 SH SOLE 166,560 0 0 DEMAND MEDIA INC COM 24802N109 654,413 75,830 SH SOLE 75,830 0 0 DENTSPLY INTL INC NEW COM 249030107 191,279,626 4,507,060 SH SOLE 4,396,410 0 110,650 DENTSPLY INTL INC NEW COM 249030107 147,293,325 3,470,625 SH DEFINED 1 2,952,419 0 518,206 DENTSPLY INTL INC NEW COM 249030107 39,640,021 934,025 SH DEFINED 2 934,025 0 0 DENTSPLY INTL INC NEW COM 249030107 10,673,023 251,485 SH DEFINED 3 251,485 0 0 DENTSPLY INTL INC NEW COM 249030107 62,929,226 1,482,781 SH DEFINED 4 1,139,941 0 342,840 DENTSPLY INTL INC NEW COM 249030107 83,278,272 1,962,259 SH DEFINED 5 1,892,629 0 69,630 DENTSPLY INTL INC NEW COM 249030107 3,064,338 72,204 SH DEFINED 6 72,204 0 0 DENTSPLY INTL INC NEW COM 249030107 8,329,147 196,257 SH DEFINED 7 177,027 0 19,230 DEXCOM INC COM 252131107 25,300,955 1,513,215 SH SOLE 1,513,215 0 0 DEXCOM INC COM 252131107 1,964,934 117,520 SH DEFINED 1 31,580 0 85,940 DIAGEO P L C SPON ADR NEW 25243Q205 46,455,472 369,163 SH SOLE 288,313 0 80,850 DIAGEO P L C SPON ADR NEW 25243Q205 96,839,039 769,541 SH DEFINED 1 550,622 0 218,919 DIAGEO P L C SPON ADR NEW 25243Q205 3,920,294 31,153 SH DEFINED 5 31,153 0 0 DIAGEO P L C SPON ADR NEW 25243Q205 13,540,384 107,600 SH DEFINED 6 107,600 0 0 DIAGEO P L C SPON ADR NEW 25243Q205 11,778,246 93,597 SH DEFINED 7 92,317 0 1,280 DIANA SHIPPING INC COM Y2066G104 67,379,515 6,320,780 SH SOLE 6,320,780 0 0 DIANA SHIPPING INC COM Y2066G104 5,550,236 520,660 SH DEFINED 1 146,780 0 373,880 DIGITAL RLTY TR INC COM 253868103 17,681,837 264,263 SH SOLE 264,263 0 0 DILLARDS INC CL A 254067101 4,165,507 53,030 SH SOLE 53,030 0 0 DILLARDS INC CL A 254067101 10,653,815 135,631 SH DEFINED 1 135,631 0 0 DILLARDS INC CL A 254067101 883,688 11,250 SH DEFINED 6 11,250 0 0 DIRECTV COM 25490A309 27,029,308 477,634 SH SOLE 477,634 0 0 DIRECTV COM 25490A309 391,207 6,913 SH DEFINED 1 4,813 0 2,100 DISCOVER FINL SVCS COM 254709108 81,382,089 1,814,944 SH SOLE 1,814,944 0 0 DISCOVER FINL SVCS COM 254709108 42,509,531 948,027 SH DEFINED 1 932,887 0 15,140
*Please note a de minimis portion of these shares may have non voting authority **13F Filing Report NOTE: Positions of interlisted Canadian issuers are aggregates of purchases made on US and CDN exchanges. Page 14 of 49 MFS 13F REPORT [MFS LOGO] AS OF DATE: 3/31/13 DISCOVER FINL SVCS COM 254709108 172,186 3,840 SH DEFINED 4 3,840 0 0 DISCOVER FINL SVCS COM 254709108 2,510,771 55,994 SH DEFINED 6 55,994 0 0 DISCOVER FINL SVCS COM 254709108 9,783,909 218,196 SH DEFINED 7 218,196 0 0 DISCOVERY COMMUNICATNS NEW COM SER A 25470F104 193,215,677 2,453,844 SH SOLE 2,453,844 0 0 DISCOVERY COMMUNICATNS NEW COM SER C 25470F302 1,671,742 24,040 SH SOLE 24,040 0 0 DISCOVERY COMMUNICATNS NEW COM SER A 25470F104 19,921,220 253,000 SH DEFINED 1 253,000 0 0 DISCOVERY COMMUNICATNS NEW COM SER A 25470F104 1,647,241 20,920 SH DEFINED 4 20,920 0 0 DISCOVERY COMMUNICATNS NEW COM SER C 25470F302 146,034 2,100 SH DEFINED 4 2,100 0 0 DISCOVERY COMMUNICATNS NEW COM SER A 25470F104 1,592,123 20,220 SH DEFINED 5 20,220 0 0 DISCOVERY COMMUNICATNS NEW COM SER A 25470F104 3,809,992 48,387 SH DEFINED 7 44,307 0 4,080 DISH NETWORK CORP CL A 25470M109 5,980,203 157,789 SH SOLE 157,789 0 0 DISNEY WALT CO COM DISNEY 254687106 1,377,467,478 24,251,188 SH SOLE 22,660,380 0 1,590,808 DISNEY WALT CO COM DISNEY 254687106 922,074,217 16,233,701 SH DEFINED 1 11,612,007 0 4,621,694 DISNEY WALT CO COM DISNEY 254687106 162,701,555 2,864,464 SH DEFINED 2 2,864,464 0 0 DISNEY WALT CO COM DISNEY 254687106 36,392,158 640,707 SH DEFINED 3 640,707 0 0 DISNEY WALT CO COM DISNEY 254687106 368,077,462 6,480,237 SH DEFINED 4 5,176,436 0 1,303,801 DISNEY WALT CO COM DISNEY 254687106 293,471,116 5,166,745 SH DEFINED 5 4,990,465 0 176,280 DISNEY WALT CO COM DISNEY 254687106 23,936,826 421,423 SH DEFINED 6 421,423 0 0 DISNEY WALT CO COM DISNEY 254687106 57,258,319 1,008,069 SH DEFINED 7 993,749 0 14,320 DOLE FOOD CO INC NEW COM 256603101 652,692 59,880 SH SOLE 59,880 0 0 DOMTAR CORP COM NEW 257559203 351,619 4,530 SH SOLE 4,530 0 0 DOUGLAS DYNAMICS INC COM 25960R105 2,774,572 200,765 SH SOLE 200,765 0 0 DR PEPPER SNAPPLE GROUP INC COM 26138E109 223,118,654 4,752,261 SH SOLE 4,362,026 0 390,235 DR PEPPER SNAPPLE GROUP INC COM 26138E109 120,542,998 2,567,476 SH DEFINED 1 1,968,906 0 598,570 DR PEPPER SNAPPLE GROUP INC COM 26138E109 33,985,837 723,873 SH DEFINED 2 723,873 0 0 DR PEPPER SNAPPLE GROUP INC COM 26138E109 9,125,437 194,365 SH DEFINED 3 194,365 0 0 DR PEPPER SNAPPLE GROUP INC COM 26138E109 50,045,132 1,065,924 SH DEFINED 4 804,124 0 261,800 DR PEPPER SNAPPLE GROUP INC COM 26138E109 67,350,902 1,434,524 SH DEFINED 5 1,381,884 0 52,640 DR PEPPER SNAPPLE GROUP INC COM 26138E109 5,979,975 127,369 SH DEFINED 6 127,369 0 0 DR PEPPER SNAPPLE GROUP INC COM 26138E109 78,876 1,680 SH DEFINED 7 1,680 0 0 DRESSER-RAND GROUP INC COM 261608103 257,616,343 4,178,014 SH SOLE 4,075,534 0 102,480 DRESSER-RAND GROUP INC COM 261608103 13,303,207 215,751 SH DEFINED 1 108,841 0 106,910 DRESSER-RAND GROUP INC COM 261608103 15,841,071 256,910 SH DEFINED 4 152,400 0 104,510 DRESSER-RAND GROUP INC COM 261608103 22,974,454 372,599 SH DEFINED 7 369,769 0 2,830 DTE ENERGY CO COM 233331107 12,210,991 178,680 SH SOLE 178,680 0 0 DU PONT E I DE NEMOURS & CO COM 263534109 16,424,356 334,100 SH SOLE 291,760 0 42,340 DUKE ENERGY CORP NEW COM NEW 26441C204 155,074,743 2,136,310 SH SOLE 1,972,160 0 164,150 DUKE ENERGY CORP NEW COM NEW 26441C204 1,691,565 23,303 SH DEFINED 1 23,303 0 0 DUKE ENERGY CORP NEW COM NEW 26441C204 34,628,842 477,047 SH DEFINED 4 1,570 0 475,477 DUN & BRADSTREET CORP DEL NE COM 26483E100 180,297,202 2,155,376 SH SOLE 1,991,830 0 163,546 DUN & BRADSTREET CORP DEL NE COM 26483E100 32,800,002 392,110 SH DEFINED 1 222,566 0 169,544 DUN & BRADSTREET CORP DEL NE COM 26483E100 4,539,686 54,270 SH DEFINED 4 0 0 54,270 DUN & BRADSTREET CORP DEL NE COM 26483E100 2,999,940 35,863 SH DEFINED 5 35,863 0 0 DUN & BRADSTREET CORP DEL NE COM 26483E100 3,378,874 40,393 SH DEFINED 6 40,393 0 0 DUN & BRADSTREET CORP DEL NE COM 26483E100 1,105,769 13,219 SH DEFINED 7 13,219 0 0
*Please note a de minimis portion of these shares may have non voting authority **13F Filing Report NOTE: Positions of interlisted Canadian issuers are aggregates of purchases made on US and CDN exchanges. Page 15 of 49 MFS 13F REPORT [MFS LOGO] AS OF DATE: 3/31/13 DUNKIN BRANDS GROUP INC COM 265504100 15,147,607 410,738 SH SOLE 410,738 0 0 DUNKIN BRANDS GROUP INC COM 265504100 1,382,594 37,490 SH DEFINED 1 10,590 0 26,900 E M C CORP MASS COM 268648102 490,252,256 20,521,233 SH SOLE 20,101,973 0 419,260 E M C CORP MASS COM 268648102 49,303,179 2,063,758 SH DEFINED 1 1,767,578 0 296,180 E M C CORP MASS COM 268648102 30,014,130 1,256,347 SH DEFINED 4 828,897 0 427,450 E M C CORP MASS COM 268648102 3,157,709 132,177 SH DEFINED 5 132,177 0 0 E M C CORP MASS COM 268648102 46,836,464 1,960,505 SH DEFINED 7 1,921,785 0 38,720 E2OPEN INC COM 29788A104 2,575,650 129,170 SH SOLE 129,170 0 0 E2OPEN INC COM 29788A104 275,770 13,830 SH DEFINED 1 3,960 0 9,870 EAGLE MATERIALS INC COM 26969P108 1,763,696 26,470 SH SOLE 26,470 0 0 EASTGROUP PPTY INC COM 277276101 21,685,786 372,608 SH SOLE 372,608 0 0 EATON CORP PLC SHS G29183103 449,338,881 7,336,145 SH SOLE 6,823,379 0 512,766 EATON CORP PLC SHS G29183103 58,193,870 950,104 SH DEFINED 1 641,808 0 308,296 EATON CORP PLC SHS G29183103 201,513 3,290 SH DEFINED 4 3,290 0 0 EATON CORP PLC SHS G29183103 1,961,838 32,030 SH DEFINED 5 32,030 0 0 EATON CORP PLC SHS G29183103 6,772,351 110,569 SH DEFINED 6 110,569 0 0 EATON CORP PLC SHS G29183103 9,019,798 147,262 SH DEFINED 7 147,262 0 0 EBAY INC COM 278642103 242,666,869 4,475,597 SH SOLE 4,475,597 0 0 EBAY INC COM 278642103 9,617,977 177,388 SH DEFINED 1 177,388 0 0 EBAY INC COM 278642103 1,094,160 20,180 SH DEFINED 4 20,180 0 0 EBAY INC COM 278642103 6,999,856 129,101 SH DEFINED 7 129,101 0 0 ECOLAB INC COM 278865100 14,876,597 185,540 SH SOLE 185,540 0 0 ECOLAB INC COM 278865100 293,459 3,660 SH DEFINED 1 0 0 3,660 EDISON INTL COM 281020107 302,418,671 6,009,910 SH SOLE 5,615,940 0 393,970 EDISON INTL COM 281020107 3,257,214 64,730 SH DEFINED 1 64,730 0 0 EDISON INTL COM 281020107 224,427 4,460 SH DEFINED 4 4,460 0 0 EDISON INTL COM 281020107 10,048,602 199,694 SH DEFINED 7 199,694 0 0 EL PASO ELEC CO COM NEW 283677854 2,610,904 77,590 SH SOLE 77,590 0 0 ELLIE MAE INC COM 28849P100 938,431 39,020 SH SOLE 39,020 0 0 EMBRAER S A SP ADR REP 4 COM 29082A107 20,145,560 564,776 SH SOLE 564,776 0 0 EMBRAER S A SP ADR REP 4 COM 29082A107 4,823,868 135,236 SH DEFINED 1 77,526 0 57,710 EMBRAER S A SP ADR REP 4 COM 29082A107 196,898 5,520 SH DEFINED 6 5,520 0 0 EMERGENT BIOSOLUTIONS INC COM 29089Q105 667,545 47,750 SH SOLE 47,750 0 0 ENBRIDGE INC COM 29250N105 47,972,967 1,030,790 SH SOLE 957,730 0 73,060 ENBRIDGE INC COM 29250N105 58,640 1,260 SH DEFINED 1 1,260 0 0 ENBRIDGE INC COM 29250N105 104,010,757 2,234,868 SH DEFINED 7 2,046,293 0 188,575 ENCANA CORP COM 292505104 24,023,234 1,234,493 SH DEFINED 7 1,234,493 0 0 ENDOLOGIX INC COM 29266S106 45,246,389 2,801,634 SH SOLE 2,801,634 0 0 ENDOLOGIX INC COM 29266S106 3,197,054 197,960 SH DEFINED 1 55,410 0 142,550 ENERGEN CORP COM 29265N108 65,494,113 1,259,260 SH SOLE 1,161,290 0 97,970 ENERGY XXI (BERMUDA) LTD USD UNRS SHS G10082140 1,019,988 37,472 SH SOLE 37,472 0 0 ENPRO INDS INC COM 29355X107 2,491,979 48,700 SH SOLE 48,700 0 0 ENSCO PLC SHS CLASS A G3157S106 84,688,800 1,411,480 SH SOLE 1,338,450 0 73,030 ENSCO PLC SHS CLASS A G3157S106 1,227,600 20,460 SH DEFINED 1 20,460 0 0 ENSCO PLC SHS CLASS A G3157S106 85,200 1,420 SH DEFINED 4 1,420 0 0
*Please note a de minimis portion of these shares may have non voting authority **13F Filing Report NOTE: Positions of interlisted Canadian issuers are aggregates of purchases made on US and CDN exchanges. Page 16 of 49 MFS 13F REPORT [MFS LOGO] AS OF DATE: 3/31/13 ENSCO PLC SHS CLASS A G3157S106 6,038,400 100,640 SH DEFINED 7 100,640 0 0 ENTEGRIS INC COM 29362U104 1,769,081 179,420 SH SOLE 179,420 0 0 ENTROPIC COMMUNICATIONS INC COM 29384R105 1,553,147 382,078 SH SOLE 382,078 0 0 EOG RES INC COM 26875P101 438,083,542 3,420,657 SH SOLE 3,212,092 0 208,565 EOG RES INC COM 26875P101 75,225,757 587,380 SH DEFINED 1 443,831 0 143,549 EOG RES INC COM 26875P101 16,280,130 127,119 SH DEFINED 4 75,519 0 51,600 EOG RES INC COM 26875P101 1,438,226 11,230 SH DEFINED 5 11,230 0 0 EOG RES INC COM 26875P101 7,062,932 55,149 SH DEFINED 6 55,149 0 0 EOG RES INC COM 26875P101 28,001,353 218,641 SH DEFINED 7 217,191 0 1,450 EPL OIL & GAS INC COM 26883D108 1,316,103 49,090 SH SOLE 49,090 0 0 EPR PPTYS COM SH BEN INT 26884U109 17,923,678 344,355 SH SOLE 344,355 0 0 EPR PPTYS COM SH BEN INT 26884U109 149,904 2,880 SH DEFINED 1 2,880 0 0 EQT CORP COM 26884L109 198,932,970 2,936,280 SH SOLE 2,724,030 0 212,250 EQT CORP COM 26884L109 1,637,585 24,171 SH DEFINED 1 24,171 0 0 EQT CORP COM 26884L109 107,723 1,590 SH DEFINED 4 1,590 0 0 EQUINIX INC COM NEW 29444U502 4,287,697 19,822 SH SOLE 19,822 0 0 EQUITY LIFESTYLE PPTYS INC COM 29472R108 49,069,747 638,929 SH SOLE 638,929 0 0 ERICSSON ADR B SEK 10 294821608 2,935,750 232,996 SH SOLE 232,996 0 0 ERICSSON ADR B SEK 10 294821608 2,472,007 196,191 SH DEFINED 7 196,191 0 0 EVERCORE PARTNERS INC CLASS A 29977A105 11,292,736 271,460 SH SOLE 271,460 0 0 EVERCORE PARTNERS INC CLASS A 29977A105 138,112 3,320 SH DEFINED 1 3,320 0 0 EVEREST RE GROUP LTD COM G3223R108 46,148,478 355,371 SH SOLE 355,371 0 0 EVEREST RE GROUP LTD COM G3223R108 18,149,104 139,759 SH DEFINED 1 139,759 0 0 EVEREST RE GROUP LTD COM G3223R108 1,499,883 11,550 SH DEFINED 6 11,550 0 0 EXA CORP COM 300614500 8,963,080 941,500 SH SOLE 941,500 0 0 EXA CORP COM 300614500 818,530 85,980 SH DEFINED 1 24,170 0 61,810 EXACTTARGET INC COM 30064K105 21,290,887 914,950 SH SOLE 914,950 0 0 EXACTTARGET INC COM 30064K105 1,963,523 84,380 SH DEFINED 1 23,360 0 61,020 EXELON CORP COM 30161N101 9,100,651 263,940 SH SOLE 243,260 0 20,680 EXPEDIA INC DEL COM NEW 30212P303 293,293 4,887 SH DEFINED 1 207 0 4,680 EXPEDITORS INTL WASH INC COM 302130109 205,894,768 5,762,518 SH SOLE 5,762,518 0 0 EXPEDITORS INTL WASH INC COM 302130109 27,800,548 778,073 SH DEFINED 1 778,073 0 0 EXPEDITORS INTL WASH INC COM 302130109 2,551,479 71,410 SH DEFINED 4 71,410 0 0 EXPEDITORS INTL WASH INC COM 302130109 2,221,691 62,180 SH DEFINED 5 62,180 0 0 EXPEDITORS INTL WASH INC COM 302130109 14,175,556 396,741 SH DEFINED 7 384,271 0 12,470 EXPRESS INC COM 30219E103 26,578,932 1,492,360 SH SOLE 1,492,360 0 0 EXPRESS SCRIPTS HLDG CO COM 30219G108 405,369,088 7,035,215 SH SOLE 6,863,125 0 172,090 EXPRESS SCRIPTS HLDG CO COM 30219G108 53,581,184 929,906 SH DEFINED 1 838,796 0 91,110 EXPRESS SCRIPTS HLDG CO COM 30219G108 3,365,584 58,410 SH DEFINED 4 58,410 0 0 EXPRESS SCRIPTS HLDG CO COM 30219G108 3,583,964 62,200 SH DEFINED 5 62,200 0 0 EXPRESS SCRIPTS HLDG CO COM 30219G108 1,903,189 33,030 SH DEFINED 6 33,030 0 0 EXPRESS SCRIPTS HLDG CO COM 30219G108 6,956,405 120,729 SH DEFINED 7 110,089 0 10,640 EXTERRAN HLDGS INC COM 30225X103 1,021,410 37,830 SH SOLE 37,830 0 0 EXXON MOBIL CORP COM 30231G102 1,429,159,558 15,860,166 SH SOLE 14,912,948 0 947,218 EXXON MOBIL CORP COM 30231G102 268,836,787 2,983,429 SH DEFINED 1 2,240,380 0 743,049
*Please note a de minimis portion of these shares may have non voting authority **13F Filing Report NOTE: Positions of interlisted Canadian issuers are aggregates of purchases made on US and CDN exchanges. Page 17 of 49 MFS 13F REPORT [MFS LOGO] AS OF DATE: 3/31/13 EXXON MOBIL CORP COM 30231G102 47,283,060 524,726 SH DEFINED 4 221,846 0 302,880 EXXON MOBIL CORP COM 30231G102 8,654,525 96,044 SH DEFINED 5 96,044 0 0 EXXON MOBIL CORP COM 30231G102 22,100,379 245,260 SH DEFINED 6 245,260 0 0 EXXON MOBIL CORP COM 30231G102 73,146,522 811,747 SH DEFINED 7 807,777 0 3,970 F M C CORP COM NEW 302491303 13,522,383 237,110 SH SOLE 237,110 0 0 FACEBOOK INC CL A 30303M102 64,873,438 2,536,100 SH SOLE 2,502,160 0 33,940 FACEBOOK INC CL A 30303M102 2,416,543 94,470 SH DEFINED 1 72,030 0 22,440 FACEBOOK INC CL A 30303M102 2,498,654 97,680 SH DEFINED 4 62,100 0 35,580 FACEBOOK INC CL A 30303M102 2,580,766 100,890 SH DEFINED 7 99,930 0 960 FAIR ISAAC CORP COM 303250104 7,394,881 161,849 SH SOLE 161,849 0 0 FEDERAL REALTY INVT TR SH BEN INT NEW 313747206 20,145,679 186,465 SH SOLE 186,465 0 0 FIDELITY NATL INFORMATION SV COM 31620M106 155,706,996 3,930,010 SH SOLE 3,711,540 0 218,470 FIDELITY NATL INFORMATION SV COM 31620M106 14,470,016 365,220 SH DEFINED 1 219,270 0 145,950 FIDELITY NATL INFORMATION SV COM 31620M106 10,265,542 259,100 SH DEFINED 4 158,280 0 100,820 FIDELITY NATL INFORMATION SV COM 31620M106 335,185 8,460 SH DEFINED 5 8,460 0 0 FIDELITY NATL INFORMATION SV COM 31620M106 1,164,432 29,390 SH DEFINED 6 29,390 0 0 FIDELITY NATL INFORMATION SV COM 31620M106 19,775,095 499,119 SH DEFINED 7 496,399 0 2,720 FIFTH THIRD BANCORP COM 316773100 28,038,358 1,719,090 SH SOLE 1,719,090 0 0 FIFTH THIRD BANCORP COM 316773100 263,407 16,150 SH DEFINED 1 16,150 0 0 FINISAR CORP COM NEW 31787A507 4,673,217 354,300 SH SOLE 354,300 0 0 FINISAR CORP COM NEW 31787A507 400,844 30,390 SH DEFINED 4 30,390 0 0 FIRST INTST BANCSYSTEM INC COM CL A 32055Y201 3,675,530 195,403 SH SOLE 195,403 0 0 FIRSTENERGY CORP COM 337932107 98,293,928 2,329,240 SH SOLE 2,149,080 0 180,160 FISERV INC COM 337738108 201,182,970 2,289,813 SH SOLE 2,110,100 0 179,713 FISERV INC COM 337738108 31,623,713 359,933 SH DEFINED 1 236,950 0 122,983 FISERV INC COM 337738108 1,122,851 12,780 SH DEFINED 5 12,780 0 0 FISERV INC COM 337738108 3,895,273 44,335 SH DEFINED 6 44,335 0 0 FISERV INC COM 337738108 91,374 1,040 SH DEFINED 7 1,040 0 0 FIVE BELOW INC COM 33829M101 35,873,873 946,790 SH SOLE 946,790 0 0 FIVE BELOW INC COM 33829M101 2,272,263 59,970 SH DEFINED 1 17,260 0 42,710 FLEETCOR TECHNOLOGIES INC COM 339041105 147,852,651 1,928,429 SH SOLE 1,928,429 0 0 FLEETCOR TECHNOLOGIES INC COM 339041105 7,149,938 93,256 SH DEFINED 1 64,806 0 28,450 FLEETCOR TECHNOLOGIES INC COM 339041105 323,547 4,220 SH DEFINED 4 4,220 0 0 FLEETCOR TECHNOLOGIES INC COM 339041105 233,383 3,044 SH DEFINED 7 3,044 0 0 FLEETMATICS GROUP PLC COM G35569105 38,821,825 1,600,900 SH SOLE 1,600,900 0 0 FLEETMATICS GROUP PLC COM G35569105 3,400,820 140,240 SH DEFINED 1 39,450 0 100,790 FLEETMATICS GROUP PLC COM G35569105 114,945 4,740 SH DEFINED 4 4,740 0 0 FLOWERS FOODS INC COM 343498101 22,000,626 667,900 SH SOLE 667,900 0 0 FLOWERS FOODS INC COM 343498101 2,032,069 61,690 SH DEFINED 1 17,290 0 44,400 FLOWSERVE CORP COM 34354P105 8,747,754 52,160 SH SOLE 52,160 0 0 FLUOR CORP NEW COM 343412102 212,284,124 3,200,424 SH SOLE 3,020,670 0 179,754 FLUOR CORP NEW COM 343412102 19,652,849 296,289 SH DEFINED 1 194,281 0 102,008 FLUOR CORP NEW COM 343412102 12,727,268 191,878 SH DEFINED 4 116,788 0 75,090 FLUOR CORP NEW COM 343412102 347,569 5,240 SH DEFINED 5 5,240 0 0 FLUOR CORP NEW COM 343412102 1,195,068 18,017 SH DEFINED 6 18,017 0 0
*Please note a de minimis portion of these shares may have non voting authority **13F Filing Report NOTE: Positions of interlisted Canadian issuers are aggregates of purchases made on US and CDN exchanges. Page 18 of 49 MFS 13F REPORT [MFS LOGO] AS OF DATE: 3/31/13 FLUOR CORP NEW COM 343412102 21,232,631 320,106 SH DEFINED 7 318,066 0 2,040 FMC TECHNOLOGIES INC COM 30249U101 71,004,513 1,305,470 SH SOLE 1,305,470 0 0 FMC TECHNOLOGIES INC COM 30249U101 1,883,906 34,637 SH DEFINED 1 34,637 0 0 FMC TECHNOLOGIES INC COM 30249U101 175,843 3,233 SH DEFINED 7 3,233 0 0 FORTINET INC COM 34959E109 3,676,794 155,270 SH SOLE 155,270 0 0 FORTINET INC COM 34959E109 223,539 9,440 SH DEFINED 1 9,440 0 0 FORTINET INC COM 34959E109 52,570 2,220 SH DEFINED 4 2,220 0 0 FOSTER WHEELER AG COM H27178104 3,221,507 140,985 SH SOLE 140,985 0 0 FRANKLIN RES INC COM 354613101 670,257,099 4,444,381 SH SOLE 4,193,829 0 250,552 FRANKLIN RES INC COM 354613101 102,123,254 677,165 SH DEFINED 1 527,616 0 149,549 FRANKLIN RES INC COM 354613101 22,081,449 146,419 SH DEFINED 4 99,879 0 46,540 FRANKLIN RES INC COM 354613101 6,012,191 39,866 SH DEFINED 5 39,866 0 0 FRANKLIN RES INC COM 354613101 6,518,008 43,220 SH DEFINED 6 43,220 0 0 FRANKLIN RES INC COM 354613101 36,198,924 240,030 SH DEFINED 7 233,050 0 6,980 FRONTIER COMMUNICATIONS CORP COM 35906A108 47,728,344 11,961,991 SH SOLE 11,217,221 0 744,770 FRONTIER COMMUNICATIONS CORP COM 35906A108 518,923 130,056 SH DEFINED 1 1,556 0 128,500 FUSION-IO INC COM 36112J107 18,102,011 1,105,804 SH SOLE 1,105,804 0 0 FUSION-IO INC COM 36112J107 1,623,086 99,150 SH DEFINED 1 27,960 0 71,190 FXCM INC COM CL A 302693106 6,546,838 478,570 SH SOLE 478,570 0 0 G & K SVCS INC CL A 361268105 3,763,768 82,702 SH SOLE 82,702 0 0 GALLAGHER ARTHUR J & CO COM 363576109 222,661 5,390 SH DEFINED 1 5,390 0 0 GANNETT INC COM 364730101 1,084,971 49,610 SH SOLE 49,610 0 0 GARDNER DENVER INC COM 365558105 267,392 3,560 SH SOLE 3,560 0 0 GARTNER INC COM 366651107 64,018,806 1,176,600 SH SOLE 1,176,600 0 0 GARTNER INC COM 366651107 3,156,324 58,010 SH DEFINED 1 16,360 0 41,650 GENERAL DYNAMICS CORP COM 369550108 19,358,521 274,550 SH SOLE 239,780 0 34,770 GENERAL DYNAMICS CORP COM 369550108 36,947 524 SH DEFINED 1 524 0 0 GENERAL ELECTRIC CO COM 369604103 17,693,620 765,295 SH SOLE 765,295 0 0 GENERAL ELECTRIC CO COM 369604103 14,742,399 637,647 SH DEFINED 1 637,647 0 0 GENERAL ELECTRIC CO COM 369604103 1,231,903 53,283 SH DEFINED 6 53,283 0 0 GENERAL MLS INC COM 370334104 860,655,754 17,453,980 SH SOLE 16,286,833 0 1,167,147 GENERAL MLS INC COM 370334104 158,077,554 3,205,791 SH DEFINED 1 2,127,342 0 1,078,449 GENERAL MLS INC COM 370334104 19,834,602 402,243 SH DEFINED 4 111,833 0 290,410 GENERAL MLS INC COM 370334104 7,017,898 142,322 SH DEFINED 5 142,322 0 0 GENERAL MLS INC COM 370334104 14,675,149 297,610 SH DEFINED 6 297,610 0 0 GENERAL MLS INC COM 370334104 13,133,176 266,339 SH DEFINED 7 261,979 0 4,360 GENERAL MTRS CO COM 37045V100 118,787,756 4,269,869 SH SOLE 4,019,848 0 250,021 GENERAL MTRS CO JR PFD CNV SRB 37045V209 34,701,961 808,150 SH SOLE 754,880 0 53,270 GENERAL MTRS CO COM 37045V100 21,025,048 755,753 SH DEFINED 1 597,294 0 158,459 GENERAL MTRS CO COM 37045V100 151,341 5,440 SH DEFINED 4 5,440 0 0 GENERAL MTRS CO COM 37045V100 416,465 14,970 SH DEFINED 5 14,970 0 0 GENERAL MTRS CO COM 37045V100 1,447,113 52,017 SH DEFINED 6 52,017 0 0 GENERAL MTRS CO COM 37045V100 29,489 1,060 SH DEFINED 7 1,060 0 0 GENMARK DIAGNOSTICS INC COM 372309104 7,908,849 612,140 SH SOLE 612,140 0 0 GENMARK DIAGNOSTICS INC COM 372309104 703,623 54,460 SH DEFINED 1 15,300 0 39,160
*Please note a de minimis portion of these shares may have non voting authority **13F Filing Report NOTE: Positions of interlisted Canadian issuers are aggregates of purchases made on US and CDN exchanges. Page 19 of 49 MFS 13F REPORT [MFS LOGO] AS OF DATE: 3/31/13 GENTIVA HEALTH SERVICES INC COM 37247A102 711,740 65,780 SH SOLE 65,780 0 0 GENWORTH FINL INC COM CL A 37247D106 4,964,330 496,433 SH SOLE 496,433 0 0 GENWORTH FINL INC COM CL A 37247D106 202,000 20,200 SH DEFINED 1 0 0 20,200 GEOSPACE TECHNOLOGIES CORP COM 37364X109 1,066,250 9,880 SH SOLE 9,880 0 0 GERDAU S A SPON ADR REP PFD 373737105 24,581,546 3,188,268 SH SOLE 3,188,268 0 0 GERDAU S A SPON ADR REP PFD 373737105 7,026,740 911,380 SH DEFINED 1 453,970 0 457,410 GERDAU S A SPON ADR REP PFD 373737105 250,652 32,510 SH DEFINED 6 32,510 0 0 GFI GROUP INC COM 361652209 6,454,750 1,932,560 SH SOLE 1,932,560 0 0 GILDAN ACTIVEWEAR INC COM 375916103 33,368,591 836,096 SH DEFINED 7 836,096 0 0 GILEAD SCIENCES INC COM 375558103 253,694,976 5,183,796 SH SOLE 5,070,836 0 112,960 GILEAD SCIENCES INC COM 375558103 37,402,640 764,255 SH DEFINED 1 667,615 0 96,640 GILEAD SCIENCES INC COM 375558103 13,727,572 280,498 SH DEFINED 4 165,938 0 114,560 GILEAD SCIENCES INC COM 375558103 1,248,264 25,506 SH DEFINED 6 25,506 0 0 GILEAD SCIENCES INC COM 375558103 25,748,802 526,130 SH DEFINED 7 522,930 0 3,200 GLACIER BANCORP INC NEW COM 37637Q105 3,770,567 198,660 SH SOLE 198,660 0 0 GLAXOSMITHKLINE PLC SPONSORED ADR 37733W105 5,456,196 116,312 SH SOLE 116,312 0 0 GLOBAL CASH ACCESS HLDGS INC COM 378967103 869,829 123,380 SH SOLE 123,380 0 0 GLOBAL PMTS INC COM 37940X102 4,327,869 87,150 SH SOLE 87,150 0 0 GLOBE SPECIALTY METALS INC COM 37954N206 36,952,710 2,654,458 SH SOLE 2,654,458 0 0 GLOBE SPECIALTY METALS INC COM 37954N206 3,242,758 232,940 SH DEFINED 1 64,760 0 168,180 GLOBUS MED INC CL A 379577208 23,873,012 1,626,227 SH SOLE 1,626,227 0 0 GLOBUS MED INC CL A 379577208 2,155,171 146,810 SH DEFINED 1 41,580 0 105,230 GOLDCORP INC NEW COM 380956409 19,368,190 575,920 SH SOLE 575,920 0 0 GOLDCORP INC NEW COM 380956409 13,915,388 413,779 SH DEFINED 1 122,403 0 291,376 GOLDCORP INC NEW COM 380956409 3,623,229 107,738 SH DEFINED 4 0 0 107,738 GOLDCORP INC NEW COM 380956409 7,388,746 219,707 SH DEFINED 6 219,707 0 0 GOLDCORP INC NEW COM 380956409 139,143,452 4,137,480 SH DEFINED 7 3,913,820 0 223,660 GOLDMAN SACHS GROUP INC COM 38141G104 1,196,163,515 8,128,872 SH SOLE 7,531,157 0 597,715 GOLDMAN SACHS GROUP INC COM 38141G104 330,407,078 2,245,376 SH DEFINED 1 1,633,685 0 611,691 GOLDMAN SACHS GROUP INC COM 38141G104 54,109,262 367,715 SH DEFINED 2 367,715 0 0 GOLDMAN SACHS GROUP INC COM 38141G104 14,471,614 98,346 SH DEFINED 3 98,346 0 0 GOLDMAN SACHS GROUP INC COM 38141G104 109,430,599 743,667 SH DEFINED 4 494,424 0 249,243 GOLDMAN SACHS GROUP INC COM 38141G104 112,795,625 766,535 SH DEFINED 5 739,895 0 26,640 GOLDMAN SACHS GROUP INC COM 38141G104 22,845,626 155,254 SH DEFINED 6 155,254 0 0 GOLDMAN SACHS GROUP INC COM 38141G104 34,361,879 233,516 SH DEFINED 7 231,866 0 1,650 GOOGLE INC CL A 38259P508 977,879,713 1,231,295 SH SOLE 1,216,685 0 14,610 GOOGLE INC CL A 38259P508 156,209,632 196,691 SH DEFINED 1 184,849 0 11,842 GOOGLE INC CL A 38259P508 38,625,333 48,635 SH DEFINED 4 33,775 0 14,860 GOOGLE INC CL A 38259P508 6,196,255 7,802 SH DEFINED 5 7,802 0 0 GOOGLE INC CL A 38259P508 4,325,148 5,446 SH DEFINED 6 5,446 0 0 GOOGLE INC CL A 38259P508 65,637,256 82,647 SH DEFINED 7 80,627 0 2,020 GORDMANS STORES INC COM 38269P100 1,431,688 122,262 SH SOLE 122,262 0 0 GRAFTECH INTL LTD COM 384313102 35,140,401 4,575,573 SH SOLE 4,575,573 0 0 GRAFTECH INTL LTD COM 384313102 2,390,554 311,270 SH DEFINED 1 87,050 0 224,220 GRAINGER W W INC COM 384802104 176,944,295 786,489 SH SOLE 769,609 0 16,880
*Please note a de minimis portion of these shares may have non voting authority **13F Filing Report NOTE: Positions of interlisted Canadian issuers are aggregates of purchases made on US and CDN exchanges. Page 20 of 49 MFS 13F REPORT [MFS LOGO] AS OF DATE: 3/31/13 GRAINGER W W INC COM 384802104 28,611,157 127,172 SH DEFINED 1 116,272 0 10,900 GRAINGER W W INC COM 384802104 12,175,918 54,120 SH DEFINED 4 36,900 0 17,220 GRAINGER W W INC COM 384802104 2,378,489 10,572 SH DEFINED 5 10,572 0 0 GRAINGER W W INC COM 384802104 15,385,257 68,385 SH DEFINED 7 65,725 0 2,660 GRAN TIERRA ENERGY INC COM 38500T101 12,419,442 2,112,150 SH SOLE 1,973,070 0 139,080 GRAN TIERRA ENERGY INC COM 38500T101 784,157 133,360 SH DEFINED 1 133,360 0 0 GRAN TIERRA ENERGY INC COM 38500T101 959,851 163,240 SH DEFINED 6 163,240 0 0 GRAND CANYON ED INC COM 38526M106 8,299,229 326,870 SH SOLE 326,870 0 0 GRAND CANYON ED INC COM 38526M106 33,007 1,300 SH DEFINED 1 1,300 0 0 GRAND CANYON ED INC COM 38526M106 76,678 3,020 SH DEFINED 4 3,020 0 0 GRANITE REAL ESTATE INVT TR UNIT 99/99/9999 387437114 6,060,753 158,700 SH SOLE 158,700 0 0 GREAT PLAINS ENERGY INC COM 391164100 60,603,702 2,613,355 SH SOLE 2,480,040 0 133,315 GREAT PLAINS ENERGY INC COM 391164100 30,275,380 1,305,536 SH DEFINED 4 0 0 1,305,536 GREEN MTN COFFEE ROASTERS IN COM 393122106 42,030,212 740,490 SH SOLE 740,490 0 0 GREEN MTN COFFEE ROASTERS IN COM 393122106 3,863,086 68,060 SH DEFINED 1 19,360 0 48,700 GREENWAY MED TECHNOLOGIES IN COM 39679B103 13,802,472 868,080 SH SOLE 868,080 0 0 GREENWAY MED TECHNOLOGIES IN COM 39679B103 1,263,414 79,460 SH DEFINED 1 22,380 0 57,080 GREIF INC CL A 397624107 15,419,289 287,566 SH SOLE 287,566 0 0 GRUPO AEROPORTUARIO DEL SURE SPON ADR SER B 40051E202 29,316,262 214,504 SH SOLE 207,564 0 6,940 GRUPO AEROPORTUARIO DEL SURE SPON ADR SER B 40051E202 4,604,686 33,692 SH DEFINED 1 24,232 0 9,460 GRUPO AEROPORTUARIO DEL SURE SPON ADR SER B 40051E202 1,383,647 10,124 SH DEFINED 6 10,124 0 0 GRUPO FINANCIERO SANTANDER M SPON ADR SHS B 40053C105 111,002,834 7,193,962 SH SOLE 7,161,852 0 32,110 GRUPO FINANCIERO SANTANDER M SPON ADR SHS B 40053C105 26,967,350 1,747,722 SH DEFINED 1 1,489,199 0 258,523 GRUPO FINANCIERO SANTANDER M SPON ADR SHS B 40053C105 9,156,316 593,410 SH DEFINED 6 593,410 0 0 GRUPO FINANCIERO SANTANDER M SPON ADR SHS B 40053C105 9,025,022 584,901 SH DEFINED 7 584,901 0 0 GRUPO TELEVISA SA SPON ADR REP ORD 40049J206 2,236,437 84,045 SH SOLE 84,045 0 0 GRUPO TELEVISA SA SPON ADR REP ORD 40049J206 1,112,032 41,790 SH DEFINED 1 0 0 41,790 GUESS INC COM 401617105 40,788,986 1,642,730 SH SOLE 1,642,730 0 0 GUESS INC COM 401617105 1,840,896 74,140 SH DEFINED 1 74,140 0 0 GUESS INC COM 401617105 121,170 4,880 SH DEFINED 4 4,880 0 0 GUESS INC COM 401617105 6,968,540 280,650 SH DEFINED 7 280,650 0 0 GUIDEWIRE SOFTWARE INC COM 40171V100 27,426,171 713,480 SH SOLE 713,480 0 0 GUIDEWIRE SOFTWARE INC COM 40171V100 2,331,002 60,640 SH DEFINED 1 16,790 0 43,850 GUIDEWIRE SOFTWARE INC COM 40171V100 213,726 5,560 SH DEFINED 4 5,560 0 0 GULFPORT ENERGY CORP COM NEW 402635304 5,358,444 116,920 SH SOLE 116,920 0 0 HALLIBURTON CO COM 406216101 5,081,962 125,760 SH SOLE 125,760 0 0 HALLIBURTON CO COM 406216101 12,949,465 320,452 SH DEFINED 1 320,452 0 0 HALLIBURTON CO COM 406216101 1,078,785 26,696 SH DEFINED 6 26,696 0 0 HANESBRANDS INC COM 410345102 31,790,629 697,775 SH SOLE 697,775 0 0 HANMI FINL CORP COM NEW 410495204 867,040 54,190 SH SOLE 54,190 0 0 HANOVER INS GROUP INC COM 410867105 14,609,249 294,067 SH SOLE 294,067 0 0 HARLEY DAVIDSON INC COM 412822108 9,428,717 176,899 SH SOLE 155,047 0 21,852 HARLEY DAVIDSON INC COM 412822108 26,775,362 502,352 SH DEFINED 1 401,108 0 101,244 HARLEY DAVIDSON INC COM 412822108 9,909,749 185,924 SH DEFINED 2 185,924 0 0 HARLEY DAVIDSON INC COM 412822108 2,624,439 49,239 SH DEFINED 3 49,239 0 0
*Please note a de minimis portion of these shares may have non voting authority **13F Filing Report NOTE: Positions of interlisted Canadian issuers are aggregates of purchases made on US and CDN exchanges. Page 21 of 49 MFS 13F REPORT [MFS LOGO] AS OF DATE: 3/31/13 HARLEY DAVIDSON INC COM 412822108 14,513,483 272,298 SH DEFINED 4 205,145 0 67,153 HARLEY DAVIDSON INC COM 412822108 19,166,733 359,601 SH DEFINED 5 346,011 0 13,590 HARLEY DAVIDSON INC COM 412822108 757,606 14,214 SH DEFINED 6 14,214 0 0 HARMONIC INC COM 413160102 874,116 150,970 SH SOLE 150,970 0 0 HARTFORD FINL SVCS GROUP INC COM 416515104 9,763,546 378,432 SH SOLE 378,432 0 0 HARTFORD FINL SVCS GROUP INC COM 416515104 68,783 2,666 SH DEFINED 1 2,666 0 0 HASBRO INC COM 418056107 390,056,435 8,877,024 SH SOLE 8,206,825 0 670,199 HASBRO INC COM 418056107 64,456,728 1,466,926 SH DEFINED 1 846,666 0 620,260 HASBRO INC COM 418056107 7,250,100 165,000 SH DEFINED 4 0 0 165,000 HASBRO INC COM 418056107 4,661,639 106,091 SH DEFINED 5 106,091 0 0 HASBRO INC COM 418056107 6,803,230 154,830 SH DEFINED 6 154,830 0 0 HASBRO INC COM 418056107 1,899,482 43,229 SH DEFINED 7 43,229 0 0 HATTERAS FINL CORP COM 41902R103 2,532,338 92,320 SH SOLE 92,320 0 0 HCA HOLDINGS INC COM 40412C101 23,349,573 574,688 SH SOLE 574,688 0 0 HCA HOLDINGS INC COM 40412C101 24,429,072 601,257 SH DEFINED 1 601,257 0 0 HCA HOLDINGS INC COM 40412C101 2,044,136 50,311 SH DEFINED 6 50,311 0 0 HDFC BANK LTD ADR REPS 3 SHS 40415F101 44,733,702 1,195,449 SH SOLE 1,195,449 0 0 HDFC BANK LTD ADR REPS 3 SHS 40415F101 32,635,703 872,146 SH DEFINED 1 387,262 0 484,884 HDFC BANK LTD ADR REPS 3 SHS 40415F101 8,122,759 217,070 SH DEFINED 4 39,250 0 177,820 HDFC BANK LTD ADR REPS 3 SHS 40415F101 3,705,628 99,028 SH DEFINED 5 99,028 0 0 HDFC BANK LTD ADR REPS 3 SHS 40415F101 9,397,434 251,134 SH DEFINED 6 251,134 0 0 HDFC BANK LTD ADR REPS 3 SHS 40415F101 3,728,117 99,629 SH DEFINED 7 92,089 0 7,540 HEADWATERS INC COM 42210P102 987,758 90,620 SH SOLE 90,620 0 0 HEALTH MGMT ASSOC INC NEW CL A 421933102 31,326,391 2,434,063 SH SOLE 2,434,063 0 0 HEALTH MGMT ASSOC INC NEW CL A 421933102 1,752,508 136,170 SH DEFINED 1 38,270 0 97,900 HEALTHCARE SVCS GRP INC COM 421906108 36,862,271 1,438,247 SH SOLE 1,438,247 0 0 HEALTHCARE SVCS GRP INC COM 421906108 3,473,121 135,510 SH DEFINED 1 37,970 0 97,540 HEALTHSTREAM INC COM 42222N103 12,323,139 537,190 SH SOLE 537,190 0 0 HEALTHSTREAM INC COM 42222N103 1,096,073 47,780 SH DEFINED 1 13,430 0 34,350 HERBALIFE LTD COM USD SHS G4412G101 291,249 7,777 SH SOLE 7,777 0 0 HERBALIFE LTD COM USD SHS G4412G101 7,827 209 SH DEFINED 1 209 0 0 HEWLETT PACKARD CO COM 428236103 328,164,824 13,765,303 SH SOLE 12,955,485 0 809,818 HEWLETT PACKARD CO COM 428236103 54,804,107 2,298,830 SH DEFINED 1 1,929,037 0 369,793 HEWLETT PACKARD CO COM 428236103 17,399,862 729,860 SH DEFINED 4 464,360 0 265,500 HEWLETT PACKARD CO COM 428236103 472,104 19,803 SH DEFINED 5 19,803 0 0 HEWLETT PACKARD CO COM 428236103 3,971,482 166,589 SH DEFINED 6 166,589 0 0 HEWLETT PACKARD CO COM 428236103 33,915,595 1,422,634 SH DEFINED 7 1,415,414 0 7,220 HILLTOP HOLDINGS INC COM 432748101 674,905 50,030 SH SOLE 50,030 0 0 HMS HLDGS CORP COM 40425J101 19,891,448 732,650 SH SOLE 732,650 0 0 HMS HLDGS CORP COM 40425J101 1,824,209 67,190 SH DEFINED 1 19,080 0 48,110 HOLLYFRONTIER CORP COM 436106108 8,242,084 160,196 SH SOLE 160,196 0 0 HOLLYFRONTIER CORP COM 436106108 9,629,485 187,162 SH DEFINED 1 187,162 0 0 HOLLYFRONTIER CORP COM 436106108 728,944 14,168 SH DEFINED 6 14,168 0 0 HOME DEPOT INC COM 437076102 202,920 2,908 SH DEFINED 1 268 0 2,640 HOME PROPERTIES INC COM 437306103 21,382,751 337,161 SH SOLE 337,161 0 0
*Please note a de minimis portion of these shares may have non voting authority **13F Filing Report NOTE: Positions of interlisted Canadian issuers are aggregates of purchases made on US and CDN exchanges. Page 22 of 49 MFS 13F REPORT [MFS LOGO] AS OF DATE: 3/31/13 HOMEAWAY INC COM 43739Q100 50,929,418 1,567,059 SH SOLE 1,567,059 0 0 HOMEAWAY INC COM 43739Q100 4,501,218 138,499 SH DEFINED 1 39,174 0 99,325 HOMEOWNERS CHOICE INC COM 43741E103 782,075 28,700 SH SOLE 28,700 0 0 HOMESTREET INC COM 43785V102 388,269 17,380 SH SOLE 17,380 0 0 HONDA MOTOR LTD AMERN SHS 438128308 9,422,864 246,285 SH SOLE 246,285 0 0 HONDA MOTOR LTD AMERN SHS 438128308 1,044,345 27,296 SH DEFINED 7 27,296 0 0 HONEYWELL INTL INC COM 438516106 1,305,732,163 17,328,894 SH SOLE 16,142,607 0 1,186,287 HONEYWELL INTL INC COM 438516106 801,905,744 10,642,412 SH DEFINED 1 7,445,512 0 3,196,900 HONEYWELL INTL INC COM 438516106 137,073,706 1,819,160 SH DEFINED 2 1,819,160 0 0 HONEYWELL INTL INC COM 438516106 30,427,385 403,814 SH DEFINED 3 403,814 0 0 HONEYWELL INTL INC COM 438516106 274,266,842 3,639,905 SH DEFINED 4 2,957,225 0 682,680 HONEYWELL INTL INC COM 438516106 244,938,512 3,250,677 SH DEFINED 5 3,139,147 0 111,530 HONEYWELL INTL INC COM 438516106 22,965,700 304,787 SH DEFINED 6 304,787 0 0 HONEYWELL INTL INC COM 438516106 45,598,279 605,153 SH DEFINED 7 601,563 0 3,590 HOST HOTELS & RESORTS INC COM 44107P104 33,026,909 1,888,331 SH SOLE 1,888,331 0 0 HSBC HLDGS PLC SPON ADR NEW 404280406 6,242,914 117,040 SH SOLE 117,040 0 0 HSBC HLDGS PLC SPON ADR NEW 404280406 9,011,793 168,950 SH DEFINED 6 168,950 0 0 HSBC HLDGS PLC SPON ADR NEW 404280406 16,188,957 303,505 SH DEFINED 7 303,505 0 0 HUDBAY MINERALS INC COM 443628102 7,895,136 822,410 SH DEFINED 7 753,700 0 68,710 HUNTINGTON BANCSHARES INC COM 446150104 15,086,316 2,046,990 SH SOLE 2,046,990 0 0 HUNTSMAN CORP COM 447011107 8,239,609 443,228 SH SOLE 443,228 0 0 IAC INTERACTIVECORP COM PAR $.001 44919P508 745,709 16,690 SH SOLE 16,690 0 0 IAC INTERACTIVECORP COM PAR $.001 44919P508 15,772 353 SH DEFINED 1 353 0 0 ICICI BK LTD ADR 45104G104 75,176,416 1,752,364 SH SOLE 1,700,294 0 52,070 ICICI BK LTD ADR 45104G104 143,211,011 3,338,252 SH DEFINED 1 2,703,191 0 635,061 ICICI BK LTD ADR 45104G104 136,679 3,186 SH DEFINED 2 3,186 0 0 ICICI BK LTD ADR 45104G104 6,100,595 142,205 SH DEFINED 3 142,205 0 0 ICICI BK LTD ADR 45104G104 43,188,974 1,006,736 SH DEFINED 4 756,966 0 249,770 ICICI BK LTD ADR 45104G104 22,393,628 521,996 SH DEFINED 5 471,276 0 50,720 ICICI BK LTD ADR 45104G104 7,688,967 179,230 SH DEFINED 6 179,230 0 0 ICICI BK LTD ADR 45104G104 15,840,611 369,245 SH DEFINED 7 369,245 0 0 IDEXX LABS INC COM 45168D104 22,615,224 244,780 SH SOLE 244,780 0 0 IDEXX LABS INC COM 45168D104 1,262,971 13,670 SH DEFINED 1 3,830 0 9,840 IHS INC CL A 451734107 6,358,598 60,720 SH SOLE 60,720 0 0 ILLINOIS TOOL WKS INC COM 452308109 26,922,683 441,790 SH SOLE 395,640 0 46,150 ILLINOIS TOOL WKS INC COM 452308109 915,319 15,020 SH DEFINED 1 9,890 0 5,130 ILLINOIS TOOL WKS INC COM 452308109 32,298 530 SH DEFINED 5 530 0 0 ILLINOIS TOOL WKS INC COM 452308109 112,739 1,850 SH DEFINED 6 1,850 0 0 ILLINOIS TOOL WKS INC COM 452308109 2,438 40 SH DEFINED 7 40 0 0 ING GROEP N V SPONSORED ADR 456837103 3,459,279 479,789 SH SOLE 479,789 0 0 ING GROEP N V SPONSORED ADR 456837103 571,219 79,226 SH DEFINED 7 79,226 0 0 INGRAM MICRO INC CL A 457153104 14,064,292 714,649 SH SOLE 714,649 0 0 INGREDION INC COM 457187102 15,543,304 214,924 SH SOLE 214,924 0 0 INGREDION INC COM 457187102 134,515 1,860 SH DEFINED 1 0 0 1,860 INSIGHT ENTERPRISES INC COM 45765U103 898,207 43,560 SH SOLE 43,560 0 0
*Please note a de minimis portion of these shares may have non voting authority **13F Filing Report NOTE: Positions of interlisted Canadian issuers are aggregates of purchases made on US and CDN exchanges. Page 23 of 49 MFS 13F REPORT [MFS LOGO] AS OF DATE: 3/31/13 INTEL CORP COM 458140100 274,824,372 12,586,415 SH SOLE 11,663,687 0 922,728 INTEL CORP COM 458140100 72,972,832 3,342,012 SH DEFINED 1 2,572,809 0 769,203 INTEL CORP COM 458140100 6,579,977 301,350 SH DEFINED 4 0 0 301,350 INTEL CORP COM 458140100 2,628,170 120,365 SH DEFINED 5 120,365 0 0 INTEL CORP COM 458140100 7,243,063 331,718 SH DEFINED 6 331,718 0 0 INTEL CORP COM 458140100 808,637 37,034 SH DEFINED 7 37,034 0 0 INTER PARFUMS INC COM 458334109 1,135,995 46,500 SH SOLE 46,500 0 0 INTERACTIVE BROKERS GROUP IN COM 45841N107 425,233 28,520 SH SOLE 28,520 0 0 INTERCONTINENTALEXCHANGE INC COM 45865V100 39,392,820 241,570 SH SOLE 241,570 0 0 INTERCONTINENTALEXCHANGE INC COM 45865V100 1,242,593 7,620 SH DEFINED 1 7,620 0 0 INTERCONTINENTALEXCHANGE INC COM 45865V100 119,041 730 SH DEFINED 7 730 0 0 INTERNATIONAL BUSINESS MACHS COM 459200101 1,032,067,834 4,838,574 SH SOLE 4,530,333 0 308,241 INTERNATIONAL BUSINESS MACHS COM 459200101 183,261,814 859,174 SH DEFINED 1 569,040 0 290,134 INTERNATIONAL BUSINESS MACHS COM 459200101 25,056,351 117,470 SH DEFINED 4 14,620 0 102,850 INTERNATIONAL BUSINESS MACHS COM 459200101 12,330,446 57,808 SH DEFINED 5 57,808 0 0 INTERNATIONAL BUSINESS MACHS COM 459200101 16,729,759 78,433 SH DEFINED 6 78,433 0 0 INTERNATIONAL BUSINESS MACHS COM 459200101 9,196,856 43,117 SH DEFINED 7 40,847 0 2,270 INTERNATIONAL FLAVORS&FRAGRA COM 459506101 93,572,285 1,220,455 SH SOLE 1,143,446 0 77,009 INTERNATIONAL FLAVORS&FRAGRA COM 459506101 141,948,831 1,851,426 SH DEFINED 1 1,490,759 0 360,667 INTERNATIONAL FLAVORS&FRAGRA COM 459506101 50,533,734 659,107 SH DEFINED 2 659,107 0 0 INTERNATIONAL FLAVORS&FRAGRA COM 459506101 13,445,388 175,367 SH DEFINED 3 175,367 0 0 INTERNATIONAL FLAVORS&FRAGRA COM 459506101 73,806,299 962,649 SH DEFINED 4 724,109 0 238,540 INTERNATIONAL FLAVORS&FRAGRA COM 459506101 99,131,243 1,292,960 SH DEFINED 5 1,244,540 0 48,420 INTERNATIONAL FLAVORS&FRAGRA COM 459506101 3,855,734 50,290 SH DEFINED 6 50,290 0 0 INTERPUBLIC GROUP COS INC COM 460690100 15,435,169 1,184,587 SH SOLE 1,184,587 0 0 INTL PAPER CO COM 460146103 2,863,366 61,472 SH SOLE 61,472 0 0 INTL PAPER CO COM 460146103 1,886,490 40,500 SH DEFINED 1 40,500 0 0 INTRALINKS HLDGS INC COM 46118H104 679,057 106,770 SH SOLE 106,770 0 0 INTREPID POTASH INC COM 46121Y102 31,542,314 1,681,360 SH SOLE 1,681,360 0 0 INTREPID POTASH INC COM 46121Y102 2,587,379 137,920 SH DEFINED 1 38,770 0 99,150 INTUITIVE SURGICAL INC COM NEW 46120E602 11,041,460 22,479 SH SOLE 22,479 0 0 INVACARE CORP COM 461203101 655,241 50,210 SH SOLE 50,210 0 0 IPG PHOTONICS CORP COM 44980X109 29,823,469 449,081 SH SOLE 449,081 0 0 IPG PHOTONICS CORP COM 44980X109 2,721,947 40,987 SH DEFINED 1 11,953 0 29,034 ISHARES INC MSCI STH KOR CAP 464286772 4,019,726 67,638 SH DEFINED 1 67,638 0 0 ISHARES TR DJ US REAL EST 464287739 61,142,400 880,000 SH Put SOLE 880,000 0 0 ITAU UNIBANCO HLDG SA SPON ADR REP PFD 465562106 254,042,686 14,272,061 SH SOLE 14,184,981 0 87,080 ITAU UNIBANCO HLDG SA SPON ADR REP PFD 465562106 233,612,024 13,124,271 SH DEFINED 1 9,598,437 0 3,525,834 ITAU UNIBANCO HLDG SA SPON ADR REP PFD 465562106 43,516,194 2,444,730 SH DEFINED 2 2,444,730 0 0 ITAU UNIBANCO HLDG SA SPON ADR REP PFD 465562106 9,055,038 508,710 SH DEFINED 3 508,710 0 0 ITAU UNIBANCO HLDG SA SPON ADR REP PFD 465562106 78,162,345 4,391,143 SH DEFINED 4 2,853,553 0 1,537,590 ITAU UNIBANCO HLDG SA SPON ADR REP PFD 465562106 88,892,488 4,993,960 SH DEFINED 5 4,812,510 0 181,450 ITAU UNIBANCO HLDG SA SPON ADR REP PFD 465562106 26,889,570 1,510,650 SH DEFINED 6 1,510,650 0 0 ITAU UNIBANCO HLDG SA SPON ADR REP PFD 465562106 10,865,992 610,449 SH DEFINED 7 582,449 0 28,000 ITC HLDGS CORP COM 465685105 61,619,124 690,333 SH SOLE 636,493 0 53,840
*Please note a de minimis portion of these shares may have non voting authority **13F Filing Report NOTE: Positions of interlisted Canadian issuers are aggregates of purchases made on US and CDN exchanges. Page 24 of 49 MFS 13F REPORT [MFS LOGO] AS OF DATE: 3/31/13 ITC HLDGS CORP COM 465685105 11,515 129 SH DEFINED 1 129 0 0 ITC HLDGS CORP COM 465685105 29,058,950 325,554 SH DEFINED 4 0 0 325,554 JDS UNIPHASE CORP COM PAR $0.001 46612J507 22,861,768 1,710,570 SH SOLE 1,710,570 0 0 JDS UNIPHASE CORP COM PAR $0.001 46612J507 1,697,355 127,000 SH DEFINED 1 127,000 0 0 JDS UNIPHASE CORP COM PAR $0.001 46612J507 597,015 44,670 SH DEFINED 4 44,670 0 0 JDS UNIPHASE CORP COM PAR $0.001 46612J507 4,542,042 339,846 SH DEFINED 7 339,846 0 0 JOHNSON & JOHNSON COM 478160104 2,101,443,658 25,775,097 SH SOLE 24,079,325 0 1,695,772 JOHNSON & JOHNSON COM 478160104 445,753,209 5,467,352 SH DEFINED 1 3,794,701 0 1,672,651 JOHNSON & JOHNSON COM 478160104 35,817,515 439,317 SH DEFINED 2 439,317 0 0 JOHNSON & JOHNSON COM 478160104 9,473,786 116,200 SH DEFINED 3 116,200 0 0 JOHNSON & JOHNSON COM 478160104 113,658,446 1,394,069 SH DEFINED 4 778,108 0 615,961 JOHNSON & JOHNSON COM 478160104 88,817,641 1,089,386 SH DEFINED 5 1,057,406 0 31,980 JOHNSON & JOHNSON COM 478160104 33,306,146 408,514 SH DEFINED 6 408,514 0 0 JOHNSON & JOHNSON COM 478160104 49,836,517 611,266 SH DEFINED 7 598,306 0 12,960 JOHNSON CTLS INC COM 478366107 543,794,964 15,505,987 SH SOLE 14,551,942 0 954,045 JOHNSON CTLS INC COM 478366107 107,668,547 3,070,104 SH DEFINED 1 2,319,173 0 750,931 JOHNSON CTLS INC COM 478366107 8,266,700 235,720 SH DEFINED 4 67,360 0 168,360 JOHNSON CTLS INC COM 478366107 6,166,183 175,825 SH DEFINED 5 175,825 0 0 JOHNSON CTLS INC COM 478366107 8,776,478 250,256 SH DEFINED 6 250,256 0 0 JOHNSON CTLS INC COM 478366107 6,284,158 179,189 SH DEFINED 7 166,159 0 13,030 JONES LANG LASALLE INC COM 48020Q107 23,142,847 232,802 SH SOLE 232,802 0 0 JOY GLOBAL INC COM 481165108 226,663,826 3,808,196 SH SOLE 3,808,196 0 0 JOY GLOBAL INC COM 481165108 12,460,750 209,354 SH DEFINED 1 171,094 0 38,260 JOY GLOBAL INC COM 481165108 212,486 3,570 SH DEFINED 4 3,570 0 0 JOY GLOBAL INC COM 481165108 1,284,204 21,576 SH DEFINED 6 21,576 0 0 JOY GLOBAL INC COM 481165108 10,855,317 182,381 SH DEFINED 7 182,381 0 0 JPMORGAN CHASE & CO COM 46625H100 1,936,672,456 40,806,415 SH SOLE 37,765,043 0 3,041,372 JPMORGAN CHASE & CO COM 46625H100 306,405,082 6,456,070 SH DEFINED 1 4,364,969 0 2,091,101 JPMORGAN CHASE & CO COM 46625H100 54,618,344 1,150,829 SH DEFINED 4 476,059 0 674,770 JPMORGAN CHASE & CO COM 46625H100 13,382,011 281,964 SH DEFINED 5 281,964 0 0 JPMORGAN CHASE & CO COM 46625H100 29,355,481 618,531 SH DEFINED 6 618,531 0 0 JPMORGAN CHASE & CO COM 46625H100 62,235,959 1,311,335 SH DEFINED 7 1,302,655 0 8,680 JUNIPER NETWORKS INC COM 48203R104 20,507,650 1,106,130 SH SOLE 1,106,130 0 0 JUNIPER NETWORKS INC COM 48203R104 22,980,645 1,239,517 SH DEFINED 1 1,239,517 0 0 JUNIPER NETWORKS INC COM 48203R104 276,802 14,930 SH DEFINED 4 14,930 0 0 JUNIPER NETWORKS INC COM 48203R104 1,545,124 83,340 SH DEFINED 6 83,340 0 0 KAMAN CORP COM 483548103 3,399,445 95,840 SH SOLE 95,840 0 0 KANSAS CITY SOUTHERN COM NEW 485170302 122,910,914 1,108,304 SH SOLE 1,108,304 0 0 KANSAS CITY SOUTHERN COM NEW 485170302 3,074,592 27,724 SH DEFINED 1 27,724 0 0 KANSAS CITY SOUTHERN COM NEW 485170302 287,453 2,592 SH DEFINED 7 2,592 0 0 KELLOGG CO COM 487836108 145,732,864 2,261,879 SH SOLE 2,082,810 0 179,069 KELLOGG CO COM 487836108 25,456,615 395,105 SH DEFINED 1 241,202 0 153,903 KELLOGG CO COM 487836108 825,413 12,811 SH DEFINED 5 12,811 0 0 KELLOGG CO COM 487836108 2,836,853 44,030 SH DEFINED 6 44,030 0 0 KELLOGG CO COM 487836108 62,819 975 SH DEFINED 7 975 0 0
*Please note a de minimis portion of these shares may have non voting authority **13F Filing Report NOTE: Positions of interlisted Canadian issuers are aggregates of purchases made on US and CDN exchanges. Page 25 of 49 MFS 13F REPORT [MFS LOGO] AS OF DATE: 3/31/13 KENNAMETAL INC COM 489170100 51,983,946 1,331,556 SH SOLE 1,331,556 0 0 KENNAMETAL INC COM 489170100 13,797,946 353,431 SH DEFINED 1 301,211 0 52,220 KENNAMETAL INC COM 489170100 914,707 23,430 SH DEFINED 6 23,430 0 0 KEY ENERGY SVCS INC COM 492914106 17,991,090 2,226,620 SH SOLE 2,226,620 0 0 KEY ENERGY SVCS INC COM 492914106 1,627,716 201,450 SH DEFINED 1 57,550 0 143,900 KEYCORP NEW COM 493267108 20,199,229 2,028,035 SH SOLE 2,028,035 0 0 KEYCORP NEW COM 493267108 252,486 25,350 SH DEFINED 1 7,110 0 18,240 KINDER MORGAN INC DEL COM 49456B101 355,667,396 9,195,124 SH SOLE 8,625,809 0 569,315 KINDER MORGAN INC DEL *W EXP 05/25/201 49456B119 1,459,380 283,926 SH SOLE 283,926 0 0 KINDER MORGAN INC DEL COM 49456B101 3,904,978 100,956 SH DEFINED 1 100,956 0 0 KINDER MORGAN INC DEL *W EXP 05/25/201 49456B119 159,232 30,979 SH DEFINED 1 30,979 0 0 KINDER MORGAN INC DEL COM 49456B101 139,944 3,618 SH DEFINED 4 3,618 0 0 KINDER MORGAN INC DEL *W EXP 05/25/201 49456B119 10,558 2,054 SH DEFINED 4 2,054 0 0 KINDER MORGAN INC DEL COM 49456B101 177,657 4,593 SH DEFINED 7 4,593 0 0 KINDRED HEALTHCARE INC COM 494580103 663,601 63,020 SH SOLE 63,020 0 0 KIRKLANDS INC COM 497498105 1,156,314 100,900 SH SOLE 100,900 0 0 KLA-TENCOR CORP COM 482480100 4,874,495 92,425 SH SOLE 92,425 0 0 KOHLS CORP COM 500255104 227,910,155 4,940,606 SH SOLE 4,592,163 0 348,443 KOHLS CORP COM 500255104 21,949,392 475,816 SH DEFINED 1 298,784 0 177,032 KOHLS CORP COM 500255104 11,055,700 239,664 SH DEFINED 4 142,704 0 96,960 KOHLS CORP COM 500255104 565,093 12,250 SH DEFINED 5 12,250 0 0 KOHLS CORP COM 500255104 1,938,152 42,015 SH DEFINED 6 42,015 0 0 KOHLS CORP COM 500255104 12,043,021 261,067 SH DEFINED 7 258,427 0 2,640 KOPPERS HOLDINGS INC COM 50060P106 2,659,734 60,476 SH SOLE 60,476 0 0 KRAFT FOODS GROUP INC COM 50076Q106 7,199,462 139,714 SH SOLE 121,995 0 17,719 KRAFT FOODS GROUP INC COM 50076Q106 31,433 610 SH DEFINED 1 610 0 0 KROGER CO COM 501044101 56,925,241 1,717,720 SH SOLE 1,624,110 0 93,610 KROGER CO COM 501044101 30,585,237 922,910 SH DEFINED 1 903,562 0 19,348 KROGER CO COM 501044101 2,166,793 65,383 SH DEFINED 6 65,383 0 0 KROGER CO COM 501044101 738,028 22,270 SH DEFINED 7 16,430 0 5,840 KYTHERA BIOPHARMACEUTICALS I COM 501570105 10,684,247 438,598 SH SOLE 438,598 0 0 KYTHERA BIOPHARMACEUTICALS I COM 501570105 960,003 39,409 SH DEFINED 1 11,119 0 28,290 L-3 COMMUNICATIONS HLDGS INC COM 502424104 2,006,007 24,790 SH SOLE 24,790 0 0 LAS VEGAS SANDS CORP COM 517834107 109,544,964 1,944,010 SH SOLE 1,944,010 0 0 LAS VEGAS SANDS CORP COM 517834107 3,971,435 70,478 SH DEFINED 1 70,478 0 0 LAS VEGAS SANDS CORP COM 517834107 367,909 6,529 SH DEFINED 7 6,529 0 0 LATTICE SEMICONDUCTOR CORP COM 518415104 1,911,978 350,500 SH SOLE 350,500 0 0 LAUDER ESTEE COS INC CL A 518439104 108,277,739 1,691,047 SH SOLE 1,691,047 0 0 LAUDER ESTEE COS INC CL A 518439104 3,862,738 60,327 SH DEFINED 1 60,327 0 0 LAUDER ESTEE COS INC CL A 518439104 371,310 5,799 SH DEFINED 7 5,799 0 0 LENNOX INTL INC COM 526107107 4,641,881 73,112 SH SOLE 73,112 0 0 LENNOX INTL INC COM 526107107 61,839 974 SH DEFINED 1 974 0 0 LIBERTY GLOBAL INC COM SER A 530555101 48,520,324 661,220 SH SOLE 609,680 0 51,540 LIFEPOINT HOSPITALS INC COM 53219L109 18,850,455 388,990 SH SOLE 388,990 0 0 LIFEPOINT HOSPITALS INC COM 53219L109 1,675,262 34,570 SH DEFINED 1 9,710 0 24,860
*Please note a de minimis portion of these shares may have non voting authority **13F Filing Report NOTE: Positions of interlisted Canadian issuers are aggregates of purchases made on US and CDN exchanges. Page 26 of 49 MFS 13F REPORT [MFS LOGO] AS OF DATE: 3/31/13 LILLY ELI & CO COM 532457108 35,477,849 624,720 SH SOLE 624,720 0 0 LILLY ELI & CO COM 532457108 6,419,996 113,048 SH DEFINED 1 101,958 0 11,090 LILLY ELI & CO COM 532457108 221,481 3,900 SH DEFINED 4 3,900 0 0 LINCOLN NATL CORP IND COM 534187109 10,589,119 324,720 SH SOLE 324,720 0 0 LINEAR TECHNOLOGY CORP COM 535678106 110,338,307 2,875,640 SH SOLE 2,875,640 0 0 LINEAR TECHNOLOGY CORP COM 535678106 5,170,818 134,762 SH DEFINED 1 134,762 0 0 LINEAR TECHNOLOGY CORP COM 535678106 249,021 6,490 SH DEFINED 4 6,490 0 0 LINEAR TECHNOLOGY CORP COM 535678106 292,840 7,632 SH DEFINED 7 7,632 0 0 LINKEDIN CORP COM CL A 53578A108 65,962,640 374,660 SH SOLE 374,660 0 0 LINKEDIN CORP COM CL A 53578A108 1,766,234 10,032 SH DEFINED 1 10,032 0 0 LINKEDIN CORP COM CL A 53578A108 169,018 960 SH DEFINED 7 960 0 0 LINN ENERGY LLC UNIT LTD LIAB 536020100 4,293,648 113,080 SH SOLE 104,680 0 8,400 LKQ CORP COM 501889208 51,303,030 2,357,676 SH SOLE 2,357,676 0 0 LKQ CORP COM 501889208 961,661 44,194 SH DEFINED 1 44,194 0 0 LKQ CORP COM 501889208 92,088 4,232 SH DEFINED 7 4,232 0 0 LOCKHEED MARTIN CORP COM 539830109 1,396,789,083 14,471,499 SH SOLE 13,425,301 0 1,046,198 LOCKHEED MARTIN CORP COM 539830109 253,388,647 2,625,245 SH DEFINED 1 1,680,787 0 944,458 LOCKHEED MARTIN CORP COM 539830109 13,729,584 142,246 SH DEFINED 5 142,246 0 0 LOCKHEED MARTIN CORP COM 539830109 26,063,103 270,028 SH DEFINED 6 270,028 0 0 LOCKHEED MARTIN CORP COM 539830109 5,848,822 60,597 SH DEFINED 7 60,597 0 0 LOGMEIN INC COM 54142L109 879,699 45,770 SH SOLE 45,770 0 0 LORILLARD INC COM 544147101 526,936,904 13,059,155 SH SOLE 12,251,435 0 807,720 LORILLARD INC COM 544147101 90,307,537 2,238,105 SH DEFINED 1 1,552,585 0 685,520 LORILLARD INC COM 544147101 6,612,155 163,870 SH DEFINED 4 4,570 0 159,300 LORILLARD INC COM 544147101 4,183,085 103,670 SH DEFINED 5 103,670 0 0 LORILLARD INC COM 544147101 9,300,150 230,487 SH DEFINED 6 230,487 0 0 LORILLARD INC COM 544147101 2,287,038 56,680 SH DEFINED 7 53,000 0 3,680 LPL FINL HLDGS INC COM 50212V100 35,072,929 1,087,870 SH SOLE 1,087,870 0 0 LPL FINL HLDGS INC COM 50212V100 3,139,854 97,390 SH DEFINED 1 27,370 0 70,020 LYONDELLBASELL INDUSTRIES N SHS - A - N53745100 12,901,667 203,850 SH SOLE 203,850 0 0 M D C HLDGS INC COM 552676108 1,129,553 30,820 SH SOLE 30,820 0 0 MA COM TECHNOLOGY SOLUTIONS COM 55405Y100 3,219,721 200,356 SH SOLE 200,356 0 0 MACYS INC COM 55616P104 30,283,541 723,794 SH SOLE 723,794 0 0 MACYS INC COM 55616P104 30,338,310 725,103 SH DEFINED 1 714,975 0 10,128 MACYS INC COM 55616P104 1,902,465 45,470 SH DEFINED 6 45,470 0 0 MAGICJACK VOCALTEC LTD SHS M6787E101 556,780 39,770 SH SOLE 39,770 0 0 MAGNA INTL INC COM 559222401 110,943 1,890 SH SOLE 1,890 0 0 MAGNA INTL INC COM 559222401 70,968 1,209 SH DEFINED 1 1,209 0 0 MAGNA INTL INC COM 559222401 192,120,463 3,272,921 SH DEFINED 7 3,088,961 0 183,960 MAKEMYTRIP LIMITED MAURITIUS SHS V5633W109 17,936,977 1,290,430 SH SOLE 1,290,430 0 0 MAKEMYTRIP LIMITED MAURITIUS SHS V5633W109 1,657,297 119,230 SH DEFINED 1 33,520 0 85,710 MANULIFE FINL CORP COM 56501R106 43,864,849 2,979,949 SH DEFINED 7 2,979,949 0 0 MARATHON OIL CORP COM 565849106 5,502,767 163,190 SH SOLE 163,190 0 0 MARATHON PETE CORP COM 56585A102 38,679,245 431,688 SH SOLE 431,688 0 0 MARATHON PETE CORP COM 56585A102 21,012,096 234,510 SH DEFINED 1 226,610 0 7,900
*Please note a de minimis portion of these shares may have non voting authority **13F Filing Report NOTE: Positions of interlisted Canadian issuers are aggregates of purchases made on US and CDN exchanges. Page 27 of 49 MFS 13F REPORT [MFS LOGO] AS OF DATE: 3/31/13 MARATHON PETE CORP COM 56585A102 1,694,336 18,910 SH DEFINED 6 18,910 0 0 MARTEN TRANS LTD COM 573075108 2,525,711 125,470 SH SOLE 125,470 0 0 MASTERCARD INC CL A 57636Q104 545,193,886 1,007,510 SH SOLE 971,600 0 35,910 MASTERCARD INC CL A 57636Q104 57,775,909 106,769 SH DEFINED 1 82,137 0 24,632 MASTERCARD INC CL A 57636Q104 21,536,974 39,800 SH DEFINED 4 26,430 0 13,370 MASTERCARD INC CL A 57636Q104 3,048,726 5,634 SH DEFINED 5 5,634 0 0 MASTERCARD INC CL A 57636Q104 3,036,822 5,612 SH DEFINED 6 5,612 0 0 MASTERCARD INC CL A 57636Q104 24,758,321 45,753 SH DEFINED 7 44,593 0 1,160 MATTEL INC COM 577081102 26,662,189 609,143 SH SOLE 609,143 0 0 MAXLINEAR INC CL A 57776J100 3,399,714 548,341 SH SOLE 548,341 0 0 MCDONALDS CORP COM 580135101 644,280,320 6,462,838 SH SOLE 6,109,015 0 353,823 MCDONALDS CORP COM 580135101 264,894,075 2,657,178 SH DEFINED 1 2,078,618 0 578,560 MCDONALDS CORP COM 580135101 51,113,057 512,720 SH DEFINED 2 512,720 0 0 MCDONALDS CORP COM 580135101 13,671,487 137,140 SH DEFINED 3 137,140 0 0 MCDONALDS CORP COM 580135101 104,825,231 1,051,512 SH DEFINED 4 717,832 0 333,680 MCDONALDS CORP COM 580135101 108,636,181 1,089,740 SH DEFINED 5 1,051,750 0 37,990 MCDONALDS CORP COM 580135101 11,146,239 111,809 SH DEFINED 6 111,809 0 0 MCDONALDS CORP COM 580135101 41,751,867 418,817 SH DEFINED 7 409,817 0 9,000 MCGRAW HILL COS INC COM 580645109 171,760,830 3,298,019 SH SOLE 3,040,639 0 257,380 MCGRAW HILL COS INC COM 580645109 27,605,004 530,050 SH DEFINED 1 339,760 0 190,290 MCGRAW HILL COS INC COM 580645109 955,668 18,350 SH DEFINED 5 18,350 0 0 MCGRAW HILL COS INC COM 580645109 3,303,955 63,440 SH DEFINED 6 63,440 0 0 MCGRAW HILL COS INC COM 580645109 74,995 1,440 SH DEFINED 7 1,440 0 0 MCKESSON CORP COM 58155Q103 6,628,960 61,402 SH SOLE 61,402 0 0 MCKESSON CORP COM 58155Q103 351,518 3,256 SH DEFINED 1 106 0 3,150 MEAD JOHNSON NUTRITION CO COM 582839106 208,464,575 2,691,602 SH SOLE 2,691,602 0 0 MEAD JOHNSON NUTRITION CO COM 582839106 29,394,831 379,533 SH DEFINED 1 379,533 0 0 MEAD JOHNSON NUTRITION CO COM 582839106 2,924,512 37,760 SH DEFINED 4 37,760 0 0 MEAD JOHNSON NUTRITION CO COM 582839106 2,667,920 34,447 SH DEFINED 5 34,447 0 0 MEAD JOHNSON NUTRITION CO COM 582839106 5,982,548 77,244 SH DEFINED 7 70,194 0 7,050 MEDICAL PPTYS TRUST INC COM 58463J304 25,414,562 1,584,449 SH SOLE 1,584,449 0 0 MEDIFAST INC COM 58470H101 514,096 22,430 SH SOLE 22,430 0 0 MEDIVATION INC COM 58501N101 4,246,276 90,810 SH SOLE 90,810 0 0 MEDNAX INC COM 58502B106 3,132,569 34,950 SH SOLE 34,950 0 0 MEDTRONIC INC COM 585055106 526,959,198 11,221,448 SH SOLE 10,351,265 0 870,183 MEDTRONIC INC COM 585055106 483,470,998 10,295,379 SH DEFINED 1 7,274,392 0 3,020,987 MEDTRONIC INC COM 585055106 72,203,912 1,537,562 SH DEFINED 2 1,537,562 0 0 MEDTRONIC INC COM 585055106 15,000,715 319,436 SH DEFINED 3 319,436 0 0 MEDTRONIC INC COM 585055106 165,845,955 3,531,643 SH DEFINED 4 2,900,837 0 630,806 MEDTRONIC INC COM 585055106 125,180,943 2,665,693 SH DEFINED 5 2,577,193 0 88,500 MEDTRONIC INC COM 585055106 14,115,941 300,595 SH DEFINED 6 300,595 0 0 MEDTRONIC INC COM 585055106 4,381,462 93,302 SH DEFINED 7 93,302 0 0 MELLANOX TECHNOLOGIES LTD SHS M51363113 44,102,695 794,500 SH SOLE 794,500 0 0 MELLANOX TECHNOLOGIES LTD SHS M51363113 2,136,025 38,480 SH DEFINED 1 38,480 0 0 MELLANOX TECHNOLOGIES LTD SHS M51363113 267,003 4,810 SH DEFINED 4 4,810 0 0
*Please note a de minimis portion of these shares may have non voting authority **13F Filing Report NOTE: Positions of interlisted Canadian issuers are aggregates of purchases made on US and CDN exchanges. Page 28 of 49 MFS 13F REPORT [MFS LOGO] AS OF DATE: 3/31/13 MELLANOX TECHNOLOGIES LTD SHS M51363113 5,172,588 93,183 SH DEFINED 7 93,183 0 0 MERCK & CO INC NEW COM 58933Y105 364,747,991 8,252,217 SH SOLE 7,642,827 0 609,390 MERCK & CO INC NEW COM 58933Y105 78,163,810 1,768,412 SH DEFINED 1 1,341,078 0 427,334 MERCK & CO INC NEW COM 58933Y105 1,918,501 43,405 SH DEFINED 5 43,405 0 0 MERCK & CO INC NEW COM 58933Y105 8,608,967 194,773 SH DEFINED 6 194,773 0 0 MERCK & CO INC NEW COM 58933Y105 150,103 3,396 SH DEFINED 7 3,396 0 0 METHANEX CORP COM 59151K108 8,363,686 205,850 SH DEFINED 7 205,850 0 0 METLIFE INC COM 59156R108 809,977,624 21,303,988 SH SOLE 19,806,717 0 1,497,271 METLIFE INC COM 59156R108 151,147,407 3,975,471 SH DEFINED 1 2,705,582 0 1,269,889 METLIFE INC COM 59156R108 11,210,957 294,870 SH DEFINED 4 8,040 0 286,830 METLIFE INC COM 59156R108 7,604,760 200,020 SH DEFINED 5 200,020 0 0 METLIFE INC COM 59156R108 15,243,739 400,940 SH DEFINED 6 400,940 0 0 METLIFE INC COM 59156R108 12,634,654 332,316 SH DEFINED 7 332,316 0 0 METRO BANCORP INC PA COM 59161R101 167,352 10,118 SH SOLE 10,118 0 0 METROPCS COMMUNICATIONS INC COM 591708102 8,022,564 736,015 SH SOLE 736,015 0 0 METROPCS COMMUNICATIONS INC COM 591708102 2,519,699 231,165 SH DEFINED 1 231,165 0 0 METTLER TOLEDO INTERNATIONAL COM 592688105 145,447,170 682,146 SH SOLE 682,146 0 0 METTLER TOLEDO INTERNATIONAL COM 592688105 34,197,290 160,385 SH DEFINED 1 155,161 0 5,224 METTLER TOLEDO INTERNATIONAL COM 592688105 2,473,352 11,600 SH DEFINED 4 11,600 0 0 METTLER TOLEDO INTERNATIONAL COM 592688105 2,381,667 11,170 SH DEFINED 5 11,170 0 0 METTLER TOLEDO INTERNATIONAL COM 592688105 18,819,224 88,262 SH DEFINED 6 88,262 0 0 METTLER TOLEDO INTERNATIONAL COM 592688105 5,694,467 26,707 SH DEFINED 7 24,477 0 2,230 MICHAEL KORS HLDGS LTD SHS G60754101 39,049,542 687,613 SH SOLE 687,613 0 0 MICHAEL KORS HLDGS LTD SHS G60754101 1,050,047 18,490 SH DEFINED 1 18,490 0 0 MICHAEL KORS HLDGS LTD SHS G60754101 100,518 1,770 SH DEFINED 7 1,770 0 0 MICREL INC COM 594793101 1,920,597 182,740 SH SOLE 182,740 0 0 MICROCHIP TECHNOLOGY INC COM 595017104 387,063,229 10,526,604 SH SOLE 10,127,914 0 398,690 MICROCHIP TECHNOLOGY INC COM 595017104 137,910,886 3,750,636 SH DEFINED 1 3,103,790 0 646,846 MICROCHIP TECHNOLOGY INC COM 595017104 32,417,020 881,616 SH DEFINED 2 881,616 0 0 MICROCHIP TECHNOLOGY INC COM 595017104 8,603,555 233,983 SH DEFINED 3 233,983 0 0 MICROCHIP TECHNOLOGY INC COM 595017104 68,671,946 1,867,608 SH DEFINED 4 1,308,998 0 558,610 MICROCHIP TECHNOLOGY INC COM 595017104 67,666,728 1,840,270 SH DEFINED 5 1,775,520 0 64,750 MICROCHIP TECHNOLOGY INC COM 595017104 2,484,402 67,566 SH DEFINED 6 67,566 0 0 MICROCHIP TECHNOLOGY INC COM 595017104 44,455,518 1,209,016 SH DEFINED 7 1,181,506 0 27,510 MICROSOFT CORP COM 594918104 32,818,173 1,147,288 SH SOLE 1,147,288 0 0 MICROSOFT CORP COM 594918104 31,636,529 1,105,979 SH DEFINED 1 1,079,441 0 26,538 MICROSOFT CORP COM 594918104 185,933 6,500 SH DEFINED 4 6,500 0 0 MICROSOFT CORP COM 594918104 2,578,769 90,151 SH DEFINED 6 90,151 0 0 MICROSOFT CORP COM 594918104 2,317 81 SH DEFINED 7 81 0 0 MID-AMER APT CMNTYS INC COM 59522J103 40,141,677 581,258 SH SOLE 581,258 0 0 MID-AMER APT CMNTYS INC COM 59522J103 104,281 1,510 SH DEFINED 1 1,510 0 0 MILLENNIAL MEDIA INC COM 60040N105 9,366,695 1,475,070 SH SOLE 1,475,070 0 0 MILLENNIAL MEDIA INC COM 60040N105 731,965 115,270 SH DEFINED 1 32,140 0 83,130 MILLER HERMAN INC COM 600544100 5,213,720 188,425 SH SOLE 188,425 0 0 MITSUBISHI UFJ FINL GROUP IN SPONSORED ADR 606822104 4,635,216 772,536 SH SOLE 772,536 0 0
*Please note a de minimis portion of these shares may have non voting authority **13F Filing Report NOTE: Positions of interlisted Canadian issuers are aggregates of purchases made on US and CDN exchanges. Page 29 of 49 MFS 13F REPORT [MFS LOGO] AS OF DATE: 3/31/13 MITSUBISHI UFJ FINL GROUP IN SPONSORED ADR 606822104 4,104 684 SH DEFINED 7 684 0 0 MKS INSTRUMENT INC COM 55306N104 1,599,904 58,820 SH SOLE 58,820 0 0 MOBILE TELESYSTEMS OJSC SPONSORED ADR 607409109 140,682,676 6,783,157 SH SOLE 6,399,787 0 383,370 MOBILE TELESYSTEMS OJSC SPONSORED ADR 607409109 7,882,403 380,058 SH DEFINED 1 380,058 0 0 MOBILE TELESYSTEMS OJSC SPONSORED ADR 607409109 554,380 26,730 SH DEFINED 6 26,730 0 0 MOLINA HEALTHCARE INC COM 60855R100 2,012,107 65,180 SH SOLE 65,180 0 0 MOLYCORP INC DEL COM 608753109 14,640,288 2,815,440 SH SOLE 2,815,440 0 0 MOLYCORP INC DEL COM 608753109 1,311,700 252,250 SH DEFINED 1 70,950 0 181,300 MOMENTA PHARMACEUTICALS INC COM 60877T100 575,754 43,160 SH SOLE 43,160 0 0 MONDELEZ INTL INC CL A 609207105 233,998,160 7,643,252 SH SOLE 7,343,652 0 299,600 MONDELEZ INTL INC CL A 609207105 18,444,711 602,473 SH DEFINED 1 327,373 0 275,100 MONDELEZ INTL INC CL A 609207105 15,832,241 517,140 SH DEFINED 4 310,240 0 206,900 MONDELEZ INTL INC CL A 609207105 33,024,737 1,078,711 SH DEFINED 7 1,073,131 0 5,580 MONOLITHIC PWR SYS INC COM 609839105 32,956,818 1,352,352 SH SOLE 1,352,352 0 0 MONOLITHIC PWR SYS INC COM 609839105 3,028,947 124,290 SH DEFINED 1 35,140 0 89,150 MONRO MUFFLER BRAKE INC COM 610236101 35,091,568 883,696 SH SOLE 883,696 0 0 MONRO MUFFLER BRAKE INC COM 610236101 3,193,081 80,410 SH DEFINED 1 22,710 0 57,700 MONSANTO CO NEW COM 61166W101 149,152,518 1,412,028 SH SOLE 1,412,028 0 0 MONSANTO CO NEW COM 61166W101 18,669,046 176,740 SH DEFINED 1 176,740 0 0 MONSANTO CO NEW COM 61166W101 2,075,630 19,650 SH DEFINED 4 19,650 0 0 MONSANTO CO NEW COM 61166W101 1,517,164 14,363 SH DEFINED 5 14,363 0 0 MONSANTO CO NEW COM 61166W101 3,591,737 34,003 SH DEFINED 7 31,013 0 2,990 MOODYS CORP COM 615369105 359,728,392 6,746,594 SH SOLE 6,316,773 0 429,821 MOODYS CORP COM 615369105 53,964,319 1,012,084 SH DEFINED 1 643,645 0 368,439 MOODYS CORP COM 615369105 3,573,506 67,020 SH DEFINED 4 0 0 67,020 MOODYS CORP COM 615369105 2,761,443 51,790 SH DEFINED 5 51,790 0 0 MOODYS CORP COM 615369105 5,612,996 105,270 SH DEFINED 6 105,270 0 0 MOODYS CORP COM 615369105 1,001,883 18,790 SH DEFINED 7 18,790 0 0 MORGAN STANLEY COM NEW 617446448 101,671,128 4,625,620 SH SOLE 4,473,000 0 152,620 MORGAN STANLEY COM NEW 617446448 3,860,128 175,620 SH DEFINED 1 175,620 0 0 MORGAN STANLEY COM NEW 617446448 174,082 7,920 SH DEFINED 4 7,920 0 0 MORGAN STANLEY COM NEW 617446448 8,040,064 365,790 SH DEFINED 7 365,790 0 0 MSC INDL DIRECT INC CL A 553530106 54,771,645 638,513 SH SOLE 638,513 0 0 MSC INDL DIRECT INC CL A 553530106 3,499,824 40,800 SH DEFINED 1 11,570 0 29,230 MSCI INC COM 55354G100 29,545,260 870,771 SH SOLE 870,771 0 0 MSCI INC COM 55354G100 289,050 8,519 SH DEFINED 1 8,519 0 0 MYLAN INC COM 628530107 10,323,905 356,550 SH SOLE 356,550 0 0 MYRIAD GENETICS INC COM 62855J104 717,324 28,230 SH SOLE 28,230 0 0 NASDAQ OMX GROUP INC COM 631103108 26,918,271 833,383 SH SOLE 833,383 0 0 NATIONAL HEALTH INVS INC COM 63633D104 17,851,488 272,750 SH SOLE 272,750 0 0 NATIONAL OILWELL VARCO INC COM 637071101 145,547,183 2,057,204 SH SOLE 1,902,963 0 154,241 NATIONAL OILWELL VARCO INC COM 637071101 145,117,448 2,051,130 SH DEFINED 1 1,638,766 0 412,364 NATIONAL OILWELL VARCO INC COM 637071101 46,448,436 656,515 SH DEFINED 2 656,515 0 0 NATIONAL OILWELL VARCO INC COM 637071101 12,473,933 176,310 SH DEFINED 3 176,310 0 0 NATIONAL OILWELL VARCO INC COM 637071101 83,594,097 1,181,542 SH DEFINED 4 864,362 0 317,180
*Please note a de minimis portion of these shares may have non voting authority **13F Filing Report NOTE: Positions of interlisted Canadian issuers are aggregates of purchases made on US and CDN exchanges. Page 30 of 49 MFS 13F REPORT [MFS LOGO] AS OF DATE: 3/31/13 NATIONAL OILWELL VARCO INC COM 637071101 93,311,043 1,318,884 SH DEFINED 5 1,270,224 0 48,660 NATIONAL OILWELL VARCO INC COM 637071101 3,574,856 50,528 SH DEFINED 6 50,528 0 0 NATIONAL OILWELL VARCO INC COM 637071101 17,913,334 253,192 SH DEFINED 7 246,862 0 6,330 NATIONAL RETAIL PPTYS INC COM 637417106 9,182,478 253,870 SH SOLE 253,870 0 0 NATUS MEDICAL INC DEL COM 639050103 612,730 45,590 SH SOLE 45,590 0 0 NAVIOS MARITIME HOLDINGS INC COM Y62196103 19,609,628 4,290,947 SH SOLE 4,290,947 0 0 NAVIOS MARITIME HOLDINGS INC COM Y62196103 1,762,969 385,770 SH DEFINED 1 107,990 0 277,780 NETFLIX INC COM 64110L106 9,893,666 52,270 SH SOLE 52,270 0 0 NETFLIX INC COM 64110L106 353,954 1,870 SH DEFINED 1 1,870 0 0 NETFLIX INC COM 64110L106 34,070 180 SH DEFINED 7 180 0 0 NETSCOUT SYS INC COM 64115T104 707,370 28,790 SH SOLE 28,790 0 0 NEVSUN RES LTD COM 64156L101 156,609 40,890 SH DEFINED 7 30,160 0 10,730 NEW YORK CMNTY BANCORP INC COM 649445103 8,325,727 580,190 SH SOLE 580,190 0 0 NEWELL RUBBERMAID INC COM 651229106 22,292,689 854,126 SH SOLE 854,126 0 0 NEWELL RUBBERMAID INC COM 651229106 140,157 5,370 SH DEFINED 1 650 0 4,720 NEWS CORP CL A 65248E104 281,544,053 9,227,927 SH SOLE 9,227,927 0 0 NEWS CORP CL A 65248E104 14,632,352 479,592 SH DEFINED 1 479,592 0 0 NEWS CORP CL A 65248E104 904,927 29,660 SH DEFINED 4 29,660 0 0 NEWS CORP CL A 65248E104 10,291,603 337,319 SH DEFINED 7 337,319 0 0 NEXTERA ENERGY INC COM 65339F101 129,017,158 1,660,880 SH SOLE 1,530,460 0 130,420 NEXTERA ENERGY INC UNIT 09/01/2015 65339F887 61,045,814 1,119,080 SH SOLE 1,030,870 0 88,210 NICE SYS LTD SPONSORED ADR 653656108 53,848,370 1,462,079 SH SOLE 1,462,079 0 0 NICE SYS LTD SPONSORED ADR 653656108 9,714,796 263,774 SH DEFINED 1 237,080 0 26,694 NICE SYS LTD SPONSORED ADR 653656108 15,777,935 428,399 SH DEFINED 6 428,399 0 0 NICE SYS LTD SPONSORED ADR 653656108 583,129 15,833 SH DEFINED 7 15,833 0 0 NII HLDGS INC CL B NEW 62913F201 2,412,312 557,760 SH SOLE 513,960 0 43,800 NIKE INC CL B 654106103 264,746,949 4,486,476 SH SOLE 4,352,698 0 133,778 NIKE INC CL B 654106103 91,260,617 1,546,528 SH DEFINED 1 1,279,914 0 266,614 NIKE INC CL B 654106103 22,628,093 383,462 SH DEFINED 2 383,462 0 0 NIKE INC CL B 654106103 5,965,203 101,088 SH DEFINED 3 101,088 0 0 NIKE INC CL B 654106103 48,620,345 823,934 SH DEFINED 4 595,344 0 228,590 NIKE INC CL B 654106103 46,089,997 781,054 SH DEFINED 5 753,314 0 27,740 NIKE INC CL B 654106103 1,711,762 29,008 SH DEFINED 6 29,008 0 0 NIKE INC CL B 654106103 30,537,793 517,502 SH DEFINED 7 507,282 0 10,220 NISOURCE INC COM 65473P105 90,433,127 3,082,247 SH SOLE 2,875,137 0 207,110 NISOURCE INC COM 65473P105 27,716,999 944,683 SH DEFINED 4 0 0 944,683 NOBLE CORPORATION BAAR NAMEN -AKT H5833N103 56,137,344 1,471,490 SH SOLE 1,346,440 0 125,050 NOBLE ENERGY INC COM 655044105 229,920,167 1,987,897 SH SOLE 1,885,877 0 102,020 NOBLE ENERGY INC COM 655044105 5,207,360 45,023 SH DEFINED 1 45,023 0 0 NOBLE ENERGY INC COM 655044105 185,056 1,600 SH DEFINED 4 1,600 0 0 NOBLE ENERGY INC COM 655044105 237,103 2,050 SH DEFINED 7 2,050 0 0 NORDSON CORP COM 655663102 13,678,690 207,410 SH SOLE 207,410 0 0 NORDSON CORP COM 655663102 1,217,437 18,460 SH DEFINED 1 5,190 0 13,270 NORTHEAST UTILS COM 664397106 80,258,408 1,846,719 SH SOLE 1,736,169 0 110,550 NORTHEAST UTILS COM 664397106 31,584,512 726,749 SH DEFINED 4 0 0 726,749
*Please note a de minimis portion of these shares may have non voting authority **13F Filing Report NOTE: Positions of interlisted Canadian issuers are aggregates of purchases made on US and CDN exchanges. Page 31 of 49 MFS 13F REPORT [MFS LOGO] AS OF DATE: 3/31/13 NORTHROP GRUMMAN CORP COM 666807102 424,958,037 6,057,848 SH SOLE 5,637,045 0 420,803 NORTHROP GRUMMAN CORP COM 666807102 64,960,233 926,019 SH DEFINED 1 560,724 0 365,295 NORTHROP GRUMMAN CORP COM 666807102 4,056,213 57,822 SH DEFINED 5 57,822 0 0 NORTHROP GRUMMAN CORP COM 666807102 7,333,341 104,538 SH DEFINED 6 104,538 0 0 NORTHROP GRUMMAN CORP COM 666807102 1,226,994 17,491 SH DEFINED 7 17,491 0 0 NORTHWESTERN CORP COM NEW 668074305 11,845,914 297,188 SH SOLE 297,188 0 0 NORTHWESTERN CORP COM NEW 668074305 22,993,879 576,866 SH DEFINED 4 0 0 576,866 NORWEGIAN CRUISE LINE HLDGS SHS G66721104 28,917,645 975,300 SH SOLE 975,300 0 0 NORWEGIAN CRUISE LINE HLDGS SHS G66721104 2,584,294 87,160 SH DEFINED 1 24,530 0 62,630 NOVARTIS A G SPONSORED ADR 66987V109 9,438,588 132,490 SH SOLE 132,490 0 0 NOVARTIS A G SPONSORED ADR 66987V109 1,427,578 20,039 SH DEFINED 7 20,039 0 0 NRG ENERGY INC COM NEW 629377508 253,607,472 9,573,706 SH SOLE 8,876,648 0 697,058 NRG ENERGY INC COM NEW 629377508 31,158,386 1,176,232 SH DEFINED 1 1,176,232 0 0 NRG ENERGY INC COM NEW 629377508 1,967,147 74,260 SH DEFINED 6 74,260 0 0 NU SKIN ENTERPRISES INC CL A 67018T105 16,630,780 376,262 SH SOLE 376,262 0 0 NU SKIN ENTERPRISES INC CL A 67018T105 20,058,977 453,823 SH DEFINED 1 453,823 0 0 NU SKIN ENTERPRISES INC CL A 67018T105 1,665,456 37,680 SH DEFINED 6 37,680 0 0 NUANCE COMMUNICATIONS INC COM 67020Y100 27,575,708 1,366,487 SH SOLE 1,366,487 0 0 NUANCE COMMUNICATIONS INC COM 67020Y100 2,424,082 120,123 SH DEFINED 1 32,915 0 87,208 NV ENERGY INC COM 67073Y106 29,011,712 1,448,413 SH SOLE 1,349,103 0 99,310 NV ENERGY INC COM 67073Y106 28,682,359 1,431,970 SH DEFINED 4 0 0 1,431,970 NVR INC COM 62944T105 21,206,880 19,634 SH SOLE 19,634 0 0 NVR INC COM 62944T105 97,210 90 SH DEFINED 1 90 0 0 NXP SEMICONDUCTORS N V COM N6596X109 56,351,516 1,860,400 SH SOLE 1,860,400 0 0 NXP SEMICONDUCTORS N V COM N6596X109 2,146,955 70,880 SH DEFINED 1 70,880 0 0 NXP SEMICONDUCTORS N V COM N6596X109 241,411 7,970 SH DEFINED 4 7,970 0 0 NXP SEMICONDUCTORS N V COM N6596X109 4,339,043 143,250 SH DEFINED 7 143,250 0 0 NXSTAGE MEDICAL INC COM 67072V103 23,716,155 2,102,496 SH SOLE 2,102,496 0 0 NXSTAGE MEDICAL INC COM 67072V103 1,849,582 163,970 SH DEFINED 1 48,150 0 115,820 O REILLY AUTOMOTIVE INC NEW COM 67103H107 15,710,045 153,360 SH SOLE 153,360 0 0 O REILLY AUTOMOTIVE INC NEW COM 67103H107 13,522 132 SH DEFINED 1 132 0 0 OCCIDENTAL PETE CORP DEL COM 674599105 803,746,106 10,255,788 SH SOLE 9,587,662 0 668,126 OCCIDENTAL PETE CORP DEL COM 674599105 146,034,580 1,863,399 SH DEFINED 1 1,291,634 0 571,765 OCCIDENTAL PETE CORP DEL COM 674599105 28,487,652 363,502 SH DEFINED 4 163,692 0 199,810 OCCIDENTAL PETE CORP DEL COM 674599105 10,789,982 137,680 SH DEFINED 5 137,680 0 0 OCCIDENTAL PETE CORP DEL COM 674599105 10,458,163 133,446 SH DEFINED 6 133,446 0 0 OCCIDENTAL PETE CORP DEL COM 674599105 33,496,278 427,412 SH DEFINED 7 414,402 0 13,010 OCWEN FINL CORP COM NEW 675746309 6,484,699 171,010 SH SOLE 171,010 0 0 OCWEN FINL CORP COM NEW 675746309 13,628,827 359,410 SH DEFINED 1 359,410 0 0 OCWEN FINL CORP COM NEW 675746309 1,140,634 30,080 SH DEFINED 6 30,080 0 0 OGE ENERGY CORP COM 670837103 175,322,084 2,505,317 SH SOLE 2,319,487 0 185,830 OGE ENERGY CORP COM 670837103 51,575 737 SH DEFINED 1 737 0 0 OIL STS INTL INC COM 678026105 6,254,788 76,680 SH SOLE 76,680 0 0 OIL STS INTL INC COM 678026105 15,930,295 195,296 SH DEFINED 1 195,296 0 0 OIL STS INTL INC COM 678026105 1,328,531 16,287 SH DEFINED 6 16,287 0 0
*Please note a de minimis portion of these shares may have non voting authority **13F Filing Report NOTE: Positions of interlisted Canadian issuers are aggregates of purchases made on US and CDN exchanges. Page 32 of 49 MFS 13F REPORT [MFS LOGO] AS OF DATE: 3/31/13 OMNICOM GROUP INC COM 681919106 615,637,702 10,452,253 SH SOLE 9,641,346 0 810,907 OMNICOM GROUP INC COM 681919106 529,417,113 8,988,406 SH DEFINED 1 6,264,592 0 2,723,814 OMNICOM GROUP INC COM 681919106 79,622,139 1,351,819 SH DEFINED 2 1,351,819 0 0 OMNICOM GROUP INC COM 681919106 16,493,414 280,024 SH DEFINED 3 280,024 0 0 OMNICOM GROUP INC COM 681919106 175,980,537 2,987,785 SH DEFINED 4 2,469,495 0 518,290 OMNICOM GROUP INC COM 681919106 137,954,343 2,342,179 SH DEFINED 5 2,264,609 0 77,570 OMNICOM GROUP INC COM 681919106 13,691,717 232,457 SH DEFINED 6 232,457 0 0 OMNICOM GROUP INC COM 681919106 4,595,967 78,030 SH DEFINED 7 78,030 0 0 ONEOK INC NEW COM 682680103 117,457,927 2,463,980 SH SOLE 2,270,940 0 193,040 ONEOK INC NEW COM 682680103 12,299 258 SH DEFINED 1 258 0 0 ONEOK PARTNERS LP UNIT LTD PARTN 68268N103 2,355,122 41,030 SH SOLE 37,890 0 3,140 OPEN TEXT CORP COM 683715106 44,674,009 756,930 SH DEFINED 7 702,810 0 54,120 ORACLE CORP COM 68389X105 1,263,233,970 39,073,120 SH SOLE 37,065,115 0 2,008,005 ORACLE CORP COM 68389X105 685,391,151 21,199,850 SH DEFINED 1 15,667,778 0 5,532,072 ORACLE CORP COM 68389X105 107,704,324 3,331,405 SH DEFINED 2 3,331,405 0 0 ORACLE CORP COM 68389X105 24,056,882 744,104 SH DEFINED 3 744,104 0 0 ORACLE CORP COM 68389X105 254,033,298 7,857,510 SH DEFINED 4 6,173,832 0 1,683,678 ORACLE CORP COM 68389X105 194,880,455 6,027,852 SH DEFINED 5 5,824,352 0 203,500 ORACLE CORP COM 68389X105 19,796,500 612,326 SH DEFINED 6 612,326 0 0 ORACLE CORP COM 68389X105 54,885,671 1,697,670 SH DEFINED 7 1,664,110 0 33,560 OWENS ILL INC COM NEW 690768403 7,466,397 280,165 SH SOLE 280,165 0 0 PACKAGING CORP AMER COM 695156109 41,375,345 922,116 SH SOLE 922,116 0 0 PACKAGING CORP AMER COM 695156109 1,801,082 40,140 SH DEFINED 1 40,140 0 0 PACKAGING CORP AMER COM 695156109 118,906 2,650 SH DEFINED 4 2,650 0 0 PAPA JOHNS INTL INC COM 698813102 861,729 13,940 SH SOLE 13,940 0 0 PARKWAY PPTYS INC COM 70159Q104 872,778 47,050 SH SOLE 47,050 0 0 PATTERSON COMPANIES INC COM 703395103 24,798,352 651,902 SH SOLE 651,902 0 0 PATTERSON COMPANIES INC COM 703395103 235,277 6,185 SH DEFINED 1 6,185 0 0 PDC ENERGY INC COM 69327R101 784,693 15,830 SH SOLE 15,830 0 0 PEABODY ENERGY CORP COM 704549104 42,079,617 1,989,580 SH SOLE 1,989,580 0 0 PEABODY ENERGY CORP COM 704549104 3,662,123 173,150 SH DEFINED 1 48,920 0 124,230 PENTAIR LTD SHS H6169Q108 166,993,946 3,165,762 SH SOLE 2,928,402 0 237,360 PENTAIR LTD SHS H6169Q108 25,251,900 478,709 SH DEFINED 1 299,711 0 178,998 PENTAIR LTD SHS H6169Q108 1,131,277 21,446 SH DEFINED 4 0 0 21,446 PENTAIR LTD SHS H6169Q108 1,211,457 22,966 SH DEFINED 5 22,966 0 0 PENTAIR LTD SHS H6169Q108 2,931,740 55,578 SH DEFINED 6 55,578 0 0 PENTAIR LTD SHS H6169Q108 341,345 6,471 SH DEFINED 7 6,471 0 0 PEPSICO INC COM 713448108 278,305,420 3,517,955 SH SOLE 3,342,400 0 175,555 PEPSICO INC COM 713448108 52,540,195 664,141 SH DEFINED 1 507,845 0 156,296 PEPSICO INC COM 713448108 2,592,435 32,770 SH DEFINED 4 32,770 0 0 PEPSICO INC COM 713448108 3,156,014 39,894 SH DEFINED 5 39,894 0 0 PEPSICO INC COM 713448108 3,428,153 43,334 SH DEFINED 6 43,334 0 0 PEPSICO INC COM 713448108 4,689,166 59,274 SH DEFINED 7 53,334 0 5,940 PERFORMANT FINL CORP COM 71377E105 28,067,770 2,285,649 SH SOLE 2,285,649 0 0 PERFORMANT FINL CORP COM 71377E105 2,162,631 176,110 SH DEFINED 1 49,620 0 126,490
*Please note a de minimis portion of these shares may have non voting authority **13F Filing Report NOTE: Positions of interlisted Canadian issuers are aggregates of purchases made on US and CDN exchanges. Page 33 of 49 MFS 13F REPORT [MFS LOGO] AS OF DATE: 3/31/13 PERKINELMER INC COM 714046109 12,952,914 385,045 SH SOLE 385,045 0 0 PERRIGO CO COM 714290103 116,694,466 982,773 SH SOLE 982,773 0 0 PERRIGO CO COM 714290103 5,831,321 49,110 SH DEFINED 1 34,280 0 14,830 PERRIGO CO COM 714290103 121,115 1,020 SH DEFINED 4 1,020 0 0 PERRIGO CO COM 714290103 155,549 1,310 SH DEFINED 7 1,310 0 0 PETROLEO BRASILEIRO SA PETRO SPONSORED ADR 71654V408 48,250,034 2,911,891 SH SOLE 2,911,891 0 0 PETROLEO BRASILEIRO SA PETRO SPONSORED ADR 71654V408 12,623,589 761,834 SH DEFINED 1 468,404 0 293,430 PETROLEO BRASILEIRO SA PETRO SPONSORED ADR 71654V408 550,787 33,240 SH DEFINED 6 33,240 0 0 PETSMART INC COM 716768106 61,519,427 990,651 SH SOLE 990,651 0 0 PETSMART INC COM 716768106 1,951,058 31,418 SH DEFINED 1 28,298 0 3,120 PETSMART INC COM 716768106 163,323 2,630 SH DEFINED 7 2,630 0 0 PFIZER INC COM 717081103 1,945,827,898 67,423,004 SH SOLE 62,842,325 0 4,580,679 PFIZER INC COM 717081103 322,123,170 11,161,579 SH DEFINED 1 7,169,871 0 3,991,708 PFIZER INC COM 717081103 59,939,334 2,076,900 SH DEFINED 4 740,960 0 1,335,940 PFIZER INC COM 717081103 16,158,397 559,889 SH DEFINED 5 559,889 0 0 PFIZER INC COM 717081103 30,421,730 1,054,114 SH DEFINED 6 1,054,114 0 0 PFIZER INC COM 717081103 69,741,922 2,416,560 SH DEFINED 7 2,396,993 0 19,567 PG&E CORP COM 69331C108 78,744,804 1,768,354 SH SOLE 1,632,514 0 135,840 PG&E CORP COM 69331C108 16,466,170 369,777 SH DEFINED 1 369,777 0 0 PG&E CORP COM 69331C108 29,823,834 669,747 SH DEFINED 4 0 0 669,747 PHARMERICA CORP COM 71714F104 693,700 49,550 SH SOLE 49,550 0 0 PHH CORP COM NEW 693320202 776,286 35,350 SH SOLE 35,350 0 0 PHILIP MORRIS INTL INC COM 718172109 2,047,087,883 22,080,551 SH SOLE 20,597,468 0 1,483,083 PHILIP MORRIS INTL INC COM 718172109 275,051,101 2,966,790 SH DEFINED 1 1,814,564 0 1,152,226 PHILIP MORRIS INTL INC COM 718172109 50,608,164 545,876 SH DEFINED 4 146,426 0 399,450 PHILIP MORRIS INTL INC COM 718172109 18,524,014 199,806 SH DEFINED 5 199,806 0 0 PHILIP MORRIS INTL INC COM 718172109 37,404,035 403,452 SH DEFINED 6 403,452 0 0 PHILIP MORRIS INTL INC COM 718172109 38,875,992 419,329 SH DEFINED 7 416,729 0 2,600 PHOTOMEDEX INC COM PAR $0.01 719358301 774,894 48,160 SH SOLE 48,160 0 0 PINNACLE WEST CAP CORP COM 723484101 11,867 205 SH DEFINED 1 205 0 0 PINNACLE WEST CAP CORP COM 723484101 26,846,777 463,755 SH DEFINED 4 0 0 463,755 PIONEER NAT RES CO COM 723787107 145,802,902 1,173,464 SH SOLE 1,173,464 0 0 PIONEER NAT RES CO COM 723787107 6,868,789 55,282 SH DEFINED 1 55,282 0 0 PIONEER NAT RES CO COM 723787107 239,803 1,930 SH DEFINED 4 1,930 0 0 PIONEER NAT RES CO COM 723787107 3,765,645 30,307 SH DEFINED 7 30,307 0 0 PLUM CREEK TIMBER CO INC COM 729251108 27,739,602 531,410 SH SOLE 531,410 0 0 PNC FINL SVCS GROUP INC COM 693475105 394,231,086 5,928,287 SH SOLE 5,526,748 0 401,539 PNC FINL SVCS GROUP INC COM 693475105 75,881,754 1,141,079 SH DEFINED 1 907,173 0 233,906 PNC FINL SVCS GROUP INC COM 693475105 219,450 3,300 SH DEFINED 4 3,300 0 0 PNC FINL SVCS GROUP INC COM 693475105 1,556,832 23,411 SH DEFINED 5 23,411 0 0 PNC FINL SVCS GROUP INC COM 693475105 7,746,918 116,495 SH DEFINED 6 116,495 0 0 PNC FINL SVCS GROUP INC COM 693475105 7,646,436 114,984 SH DEFINED 7 114,984 0 0 PNM RES INC COM 69349H107 1,250,906 53,710 SH SOLE 53,710 0 0 POLARIS INDS INC COM 731068102 71,041,199 768,096 SH SOLE 768,096 0 0 POLARIS INDS INC COM 731068102 1,830,100 19,787 SH DEFINED 1 19,787 0 0
*Please note a de minimis portion of these shares may have non voting authority **13F Filing Report NOTE: Positions of interlisted Canadian issuers are aggregates of purchases made on US and CDN exchanges. Page 34 of 49 MFS 13F REPORT [MFS LOGO] AS OF DATE: 3/31/13 POLARIS INDS INC COM 731068102 173,234 1,873 SH DEFINED 7 1,873 0 0 POLYPORE INTL INC COM 73179V103 37,467,287 932,486 SH SOLE 932,486 0 0 POLYPORE INTL INC COM 73179V103 3,222,838 80,210 SH DEFINED 1 22,600 0 57,610 POOL CORPORATION COM 73278L105 1,725,600 35,950 SH SOLE 35,950 0 0 POPULAR INC COM NEW 733174700 850,632 30,820 SH SOLE 30,820 0 0 PORTFOLIO RECOVERY ASSOCS IN COM 73640Q105 1,491,310 11,750 SH SOLE 11,750 0 0 PORTLAND GEN ELEC CO COM NEW 736508847 24,560,931 809,790 SH SOLE 765,900 0 43,890 POTASH CORP SASK INC COM 73755L107 14,523 370 SH DEFINED 1 370 0 0 POTASH CORP SASK INC COM 73755L107 107,433,412 2,737,157 SH DEFINED 7 2,597,037 0 140,120 POTLATCH CORP NEW COM 737630103 1,543,189 33,650 SH SOLE 33,650 0 0 PPG INDS INC COM 693506107 679,308,052 5,071,734 SH SOLE 4,710,879 0 360,855 PPG INDS INC COM 693506107 119,004,083 888,488 SH DEFINED 1 591,436 0 297,052 PPG INDS INC COM 693506107 9,907,542 73,970 SH DEFINED 4 0 0 73,970 PPG INDS INC COM 693506107 6,755,800 50,439 SH DEFINED 5 50,439 0 0 PPG INDS INC COM 693506107 12,341,098 92,139 SH DEFINED 6 92,139 0 0 PPG INDS INC COM 693506107 2,461,281 18,376 SH DEFINED 7 18,376 0 0 PPL CORP COM 69351T106 242,288,396 7,738,371 SH SOLE 7,091,815 0 646,556 PPL CORP UNIT 99/99/9999 69351T601 170,612,292 3,113,363 SH SOLE 2,892,421 0 220,942 PPL CORP UNIT 99/99/9999S 69351T114 103,120,218 1,849,690 SH SOLE 1,708,870 0 140,820 PPL CORP COM 69351T106 12,121,479 387,144 SH DEFINED 1 259,265 0 127,879 PPL CORP UNIT 99/99/9999 69351T601 8,626,013 157,409 SH DEFINED 1 116,370 0 41,039 PPL CORP UNIT 99/99/9999 69351T601 130,424 2,380 SH DEFINED 4 2,380 0 0 PPL CORP COM 69351T106 712,052 22,742 SH DEFINED 5 22,742 0 0 PPL CORP COM 69351T106 1,379,206 44,050 SH DEFINED 6 44,050 0 0 PPL CORP UNIT 99/99/9999 69351T601 931,162 16,992 SH DEFINED 6 16,992 0 0 PPL CORP COM 69351T106 31,842 1,017 SH DEFINED 7 1,017 0 0 PPL CORP UNIT 99/99/9999 69351T601 6,576 120 SH DEFINED 7 120 0 0 PRAXAIR INC COM 74005P104 246,169,003 2,207,002 SH SOLE 2,103,505 0 103,497 PRAXAIR INC COM 74005P104 390,949,038 3,505,012 SH DEFINED 1 2,561,685 0 943,327 PRAXAIR INC COM 74005P104 69,118,996 619,679 SH DEFINED 2 619,679 0 0 PRAXAIR INC COM 74005P104 14,575,266 130,673 SH DEFINED 3 130,673 0 0 PRAXAIR INC COM 74005P104 163,927,884 1,469,678 SH DEFINED 4 1,244,158 0 225,520 PRAXAIR INC COM 74005P104 117,590,710 1,054,247 SH DEFINED 5 1,018,027 0 36,220 PRAXAIR INC COM 74005P104 4,198,254 37,639 SH DEFINED 6 37,639 0 0 PRAXAIR INC COM 74005P104 20,867,126 187,082 SH DEFINED 7 181,822 0 5,260 PRECISION CASTPARTS CORP COM 740189105 502,949,415 2,652,407 SH SOLE 2,597,117 0 55,290 PRECISION CASTPARTS CORP COM 740189105 52,764,609 278,265 SH DEFINED 1 250,765 0 27,500 PRECISION CASTPARTS CORP COM 740189105 22,763,881 120,050 SH DEFINED 4 76,470 0 43,580 PRECISION CASTPARTS CORP COM 740189105 2,214,762 11,680 SH DEFINED 5 11,680 0 0 PRECISION CASTPARTS CORP COM 740189105 1,128,239 5,950 SH DEFINED 6 5,950 0 0 PRECISION CASTPARTS CORP COM 740189105 37,294,462 196,680 SH DEFINED 7 193,210 0 3,470 PREMIERE GLOBAL SVCS INC COM 740585104 881,178 80,180 SH SOLE 80,180 0 0 PRICELINE COM INC COM NEW 741503403 201,297,019 292,514 SH SOLE 292,514 0 0 PRICELINE COM INC COM NEW 741503403 23,392,003 33,992 SH DEFINED 1 33,992 0 0 PRICELINE COM INC COM NEW 741503403 1,004,717 1,460 SH DEFINED 4 1,460 0 0
*Please note a de minimis portion of these shares may have non voting authority **13F Filing Report NOTE: Positions of interlisted Canadian issuers are aggregates of purchases made on US and CDN exchanges. Page 35 of 49 MFS 13F REPORT [MFS LOGO] AS OF DATE: 3/31/13 PRICELINE COM INC COM NEW 741503403 1,376,324 2,000 SH DEFINED 6 2,000 0 0 PRICELINE COM INC COM NEW 741503403 455,563 662 SH DEFINED 7 662 0 0 PRIVATEBANCORP INC COM 742962103 14,247,027 754,210 SH SOLE 754,210 0 0 PROCTER & GAMBLE CO COM 742718109 602,696,355 7,821,131 SH SOLE 7,403,957 0 417,174 PROCTER & GAMBLE CO COM 742718109 192,269,709 2,495,065 SH DEFINED 1 1,929,858 0 565,207 PROCTER & GAMBLE CO COM 742718109 18,800,791 243,976 SH DEFINED 2 243,976 0 0 PROCTER & GAMBLE CO COM 742718109 5,021,461 65,163 SH DEFINED 3 65,163 0 0 PROCTER & GAMBLE CO COM 742718109 70,729,675 917,852 SH DEFINED 4 561,945 0 355,907 PROCTER & GAMBLE CO COM 742718109 45,711,144 593,189 SH DEFINED 5 575,133 0 18,056 PROCTER & GAMBLE CO COM 742718109 8,534,626 110,753 SH DEFINED 6 110,753 0 0 PROCTER & GAMBLE CO COM 742718109 39,295,514 509,934 SH DEFINED 7 494,754 0 15,180 PROGRESSIVE WASTE SOLUTIONS COM 74339G101 2,946,110 139,296 SH SOLE 139,296 0 0 PROGRESSIVE WASTE SOLUTIONS COM 74339G101 6,768 320 SH DEFINED 1 320 0 0 PROGRESSIVE WASTE SOLUTIONS COM 74339G101 62,384,082 2,949,602 SH DEFINED 7 2,814,830 0 134,772 PROS HOLDINGS INC COM 74346Y103 5,190,992 191,056 SH SOLE 191,056 0 0 PROS HOLDINGS INC COM 74346Y103 571,657 21,040 SH DEFINED 1 5,860 0 15,180 PROSPECT CAPITAL CORPORATION COM 74348T102 722,788 66,250 SH SOLE 66,250 0 0 PROTECTIVE LIFE CORP COM 743674103 10,619,354 296,630 SH SOLE 296,630 0 0 PROTO LABS INC COM 743713109 36,760,188 748,680 SH SOLE 748,680 0 0 PROTO LABS INC COM 743713109 3,342,237 68,070 SH DEFINED 1 19,100 0 48,970 PRUDENTIAL FINL INC COM 744320102 576,912,172 9,779,830 SH SOLE 9,060,204 0 719,626 PRUDENTIAL FINL INC COM 744320102 106,776,324 1,810,075 SH DEFINED 1 1,272,020 0 538,055 PRUDENTIAL FINL INC COM 744320102 6,215,776 105,370 SH DEFINED 4 0 0 105,370 PRUDENTIAL FINL INC COM 744320102 4,472,799 75,823 SH DEFINED 5 75,823 0 0 PRUDENTIAL FINL INC COM 744320102 11,159,433 189,175 SH DEFINED 6 189,175 0 0 PRUDENTIAL FINL INC COM 744320102 1,577,983 26,750 SH DEFINED 7 26,750 0 0 PTC INC COM 69370C100 52,686,352 2,066,942 SH SOLE 2,066,942 0 0 PTC INC COM 69370C100 1,254,210 49,204 SH DEFINED 1 49,204 0 0 PTC INC COM 69370C100 118,834 4,662 SH DEFINED 7 4,662 0 0 PUBLIC STORAGE COM 74460D109 65,369,194 429,157 SH SOLE 429,157 0 0 PUBLIC STORAGE COM 74460D109 6,519,448 42,801 SH DEFINED 1 42,801 0 0 PUBLIC STORAGE COM 74460D109 546,524 3,588 SH DEFINED 6 3,588 0 0 PUBLIC SVC ENTERPRISE GROUP COM 744573106 255,913,802 7,452,353 SH SOLE 6,832,389 0 619,964 PUBLIC SVC ENTERPRISE GROUP COM 744573106 12,147,775 353,750 SH DEFINED 1 234,500 0 119,250 PUBLIC SVC ENTERPRISE GROUP COM 744573106 434,332 12,648 SH DEFINED 5 12,648 0 0 PUBLIC SVC ENTERPRISE GROUP COM 744573106 1,489,601 43,378 SH DEFINED 6 43,378 0 0 PUBLIC SVC ENTERPRISE GROUP COM 744573106 33,447 974 SH DEFINED 7 974 0 0 PVH CORP COM 693656100 6,616,666 61,948 SH SOLE 61,948 0 0 PVH CORP COM 693656100 4,055,576 37,970 SH DEFINED 1 37,970 0 0 QEP RES INC COM 74733V100 92,762,656 2,913,400 SH SOLE 2,709,230 0 204,170 QLIK TECHNOLOGIES INC COM 74733T105 45,472,243 1,760,443 SH SOLE 1,760,443 0 0 QLIK TECHNOLOGIES INC COM 74733T105 2,780,600 107,650 SH DEFINED 1 27,660 0 79,990 QLIK TECHNOLOGIES INC COM 74733T105 204,315 7,910 SH DEFINED 4 7,910 0 0 QUAD / GRAPHICS INC COM CL A 747301109 1,005,241 41,990 SH SOLE 41,990 0 0 QUALCOMM INC COM 747525103 277,015,191 4,138,261 SH SOLE 4,138,261 0 0
*Please note a de minimis portion of these shares may have non voting authority **13F Filing Report NOTE: Positions of interlisted Canadian issuers are aggregates of purchases made on US and CDN exchanges. Page 36 of 49 MFS 13F REPORT [MFS LOGO] AS OF DATE: 3/31/13 QUALCOMM INC COM 747525103 28,300,425 422,773 SH DEFINED 1 415,723 0 7,050 QUALCOMM INC COM 747525103 1,315,371 19,650 SH DEFINED 4 19,650 0 0 QUALCOMM INC COM 747525103 1,599,197 23,890 SH DEFINED 6 23,890 0 0 QUALCOMM INC COM 747525103 831,930 12,428 SH DEFINED 7 12,428 0 0 QUEST DIAGNOSTICS INC COM 74834L100 181,685,965 3,217,902 SH SOLE 2,976,058 0 241,844 QUEST DIAGNOSTICS INC COM 74834L100 31,802,053 563,257 SH DEFINED 1 328,290 0 234,967 QUEST DIAGNOSTICS INC COM 74834L100 3,805,471 67,400 SH DEFINED 4 0 0 67,400 QUEST DIAGNOSTICS INC COM 74834L100 2,171,885 38,467 SH DEFINED 5 38,467 0 0 QUEST DIAGNOSTICS INC COM 74834L100 3,371,286 59,710 SH DEFINED 6 59,710 0 0 QUEST DIAGNOSTICS INC COM 74834L100 916,644 16,235 SH DEFINED 7 16,235 0 0 RACKSPACE HOSTING INC COM 750086100 25,278,870 500,770 SH SOLE 500,770 0 0 RACKSPACE HOSTING INC COM 750086100 1,163,564 23,050 SH DEFINED 1 23,050 0 0 RACKSPACE HOSTING INC COM 750086100 239,780 4,750 SH DEFINED 4 4,750 0 0 RACKSPACE HOSTING INC COM 750086100 4,008,213 79,402 SH DEFINED 7 79,402 0 0 RANGE RES CORP COM 75281A109 46,094,742 568,790 SH SOLE 568,790 0 0 RANGE RES CORP COM 75281A109 4,107,918 50,690 SH DEFINED 1 14,230 0 36,460 REALOGY HLDGS CORP COM 75605Y106 6,237,356 127,710 SH SOLE 127,710 0 0 RED HAT INC COM 756577102 559,952 11,075 SH SOLE 11,075 0 0 RED HAT INC COM 756577102 49,043 970 SH DEFINED 4 970 0 0 REGAL BELOIT CORP COM 758750103 13,646,619 167,320 SH SOLE 167,320 0 0 REGAL BELOIT CORP COM 758750103 15,333 188 SH DEFINED 1 188 0 0 REGAL ENTMT GROUP CL A 758766109 2,762,869 165,739 SH SOLE 165,739 0 0 REGAL ENTMT GROUP CL A 758766109 18,770 1,126 SH DEFINED 1 1,126 0 0 REGENERON PHARMACEUTICALS COM 75886F107 5,729,569 32,480 SH SOLE 32,480 0 0 REGIONAL MGMT CORP COM 75902K106 2,373,096 117,480 SH SOLE 117,480 0 0 REGIONS FINL CORP NEW COM 7591EP100 10,673,208 1,303,200 SH SOLE 1,303,200 0 0 REPUBLIC AWYS HLDGS INC COM 760276105 1,200,275 104,010 SH SOLE 104,010 0 0 RESOLUTE FST PRODS INC COM 76117W109 677,942 41,900 SH SOLE 41,900 0 0 RETAIL OPPORTUNITY INVTS COR COM 76131N101 13,541,713 966,230 SH SOLE 966,230 0 0 REYNOLDS AMERICAN INC COM 761713106 317,837 7,144 SH DEFINED 1 554 0 6,590 RIO TINTO PLC SPONSORED ADR 767204100 9,015,632 191,496 SH SOLE 191,496 0 0 RIO TINTO PLC SPONSORED ADR 767204100 22,861,342 485,585 SH DEFINED 7 485,585 0 0 RLJ LODGING TR COM 74965L101 1,014,186 44,560 SH SOLE 44,560 0 0 ROCKWELL AUTOMATION INC COM 773903109 11,362,451 131,586 SH SOLE 115,773 0 15,813 ROCKWELL AUTOMATION INC COM 773903109 30,894,648 357,784 SH DEFINED 1 285,890 0 71,894 ROCKWELL AUTOMATION INC COM 773903109 11,467,712 132,805 SH DEFINED 2 132,805 0 0 ROCKWELL AUTOMATION INC COM 773903109 3,023,804 35,018 SH DEFINED 3 35,018 0 0 ROCKWELL AUTOMATION INC COM 773903109 16,731,176 193,760 SH DEFINED 4 146,140 0 47,620 ROCKWELL AUTOMATION INC COM 773903109 22,216,301 257,282 SH DEFINED 5 247,702 0 9,580 ROCKWELL AUTOMATION INC COM 773903109 810,481 9,386 SH DEFINED 6 9,386 0 0 ROCKWOOD HLDGS INC COM 774415103 36,927,792 564,300 SH SOLE 564,300 0 0 ROCKWOOD HLDGS INC COM 774415103 2,474,286 37,810 SH DEFINED 1 10,680 0 27,130 ROGERS COMMUNICATIONS INC CL B 775109200 18,892 370 SH DEFINED 1 370 0 0 ROGERS COMMUNICATIONS INC CL B 775109200 104,757,555 2,051,656 SH DEFINED 7 1,933,576 0 118,080 ROPER INDS INC NEW COM 776696106 149,696,190 1,175,840 SH SOLE 1,175,840 0 0
*Please note a de minimis portion of these shares may have non voting authority **13F Filing Report NOTE: Positions of interlisted Canadian issuers are aggregates of purchases made on US and CDN exchanges. Page 37 of 49 MFS 13F REPORT [MFS LOGO] AS OF DATE: 3/31/13 ROPER INDS INC NEW COM 776696106 6,816,177 53,540 SH DEFINED 1 53,540 0 0 ROPER INDS INC NEW COM 776696106 287,721 2,260 SH DEFINED 4 2,260 0 0 ROPER INDS INC NEW COM 776696106 7,102,625 55,790 SH DEFINED 7 55,790 0 0 ROSS STORES INC COM 778296103 115,954,421 1,912,808 SH SOLE 1,912,808 0 0 ROSS STORES INC COM 778296103 3,673,269 60,595 SH DEFINED 1 60,595 0 0 ROSS STORES INC COM 778296103 329,833 5,441 SH DEFINED 7 5,441 0 0 ROYAL BK CDA MONTREAL QUE COM 780087102 62,531 1,037 SH DEFINED 1 1,037 0 0 ROYAL BK CDA MONTREAL QUE COM 780087102 314,568,457 5,216,724 SH DEFINED 7 4,976,154 0 240,570 ROYAL CARIBBEAN CRUISES LTD COM V7780T103 3,167,859 95,360 SH SOLE 95,360 0 0 ROYAL DUTCH SHELL PLC SPONS ADR A 780259206 10,141,048 155,633 SH SOLE 155,633 0 0 ROYAL DUTCH SHELL PLC SPONS ADR A 780259206 100,346 1,540 SH DEFINED 1 1,540 0 0 ROYAL DUTCH SHELL PLC SPONS ADR A 780259206 1,563,645 23,997 SH DEFINED 7 23,997 0 0 RUE21 INC COM 781295100 11,025,071 375,130 SH SOLE 375,130 0 0 SAFEWAY INC COM NEW 786514208 3,154,359 119,710 SH DEFINED 1 119,710 0 0 SALESFORCE COM INC COM 79466L302 115,040,445 643,295 SH SOLE 643,295 0 0 SALESFORCE COM INC COM 79466L302 6,176,788 34,540 SH DEFINED 1 34,540 0 0 SALESFORCE COM INC COM 79466L302 894,150 5,000 SH DEFINED 4 5,000 0 0 SALESFORCE COM INC COM 79466L302 9,724,775 54,380 SH DEFINED 7 54,380 0 0 SALLY BEAUTY HLDGS INC COM 79546E104 38,330,206 1,304,636 SH SOLE 1,171,376 0 133,260 SALLY BEAUTY HLDGS INC COM 79546E104 91,282,749 3,106,969 SH DEFINED 1 2,482,786 0 624,183 SALLY BEAUTY HLDGS INC COM 79546E104 33,590,095 1,143,298 SH DEFINED 2 1,143,298 0 0 SALLY BEAUTY HLDGS INC COM 79546E104 6,978,543 237,527 SH DEFINED 3 237,527 0 0 SALLY BEAUTY HLDGS INC COM 79546E104 48,022,286 1,634,523 SH DEFINED 4 1,221,503 0 413,020 SALLY BEAUTY HLDGS INC COM 79546E104 65,709,516 2,236,539 SH DEFINED 5 2,152,729 0 83,810 SALLY BEAUTY HLDGS INC COM 79546E104 2,560,291 87,144 SH DEFINED 6 87,144 0 0 SANDY SPRING BANCORP INC COM 800363103 3,077,752 153,122 SH SOLE 153,122 0 0 SAP AG SPON ADR 803054204 7,082,688 87,940 SH DEFINED 7 87,940 0 0 SBA COMMUNICATIONS CORP COM 78388J106 72,466,560 1,006,480 SH SOLE 942,400 0 64,080 SBA COMMUNICATIONS CORP NOTE 4.000%10/0 78388JAM8 61,493,031 25,790,000 PR SOLE 23,743,000 0 2,047,000 SBA COMMUNICATIONS CORP COM 78388J106 1,875,384 26,047 SH DEFINED 1 26,047 0 0 SBA COMMUNICATIONS CORP COM 78388J106 79,200 1,100 SH DEFINED 4 1,100 0 0 SCANA CORP NEW COM 80589M102 13,867,174 271,055 SH DEFINED 4 0 0 271,055 SCHEIN HENRY INC COM 806407102 26,704,377 288,540 SH SOLE 288,540 0 0 SCHLUMBERGER LTD COM 806857108 293,921,981 3,924,716 SH SOLE 3,739,428 0 185,288 SCHLUMBERGER LTD COM 806857108 227,302,908 3,035,157 SH DEFINED 1 2,510,769 0 524,388 SCHLUMBERGER LTD COM 806857108 65,383,988 873,067 SH DEFINED 2 873,067 0 0 SCHLUMBERGER LTD COM 806857108 17,604,467 235,071 SH DEFINED 3 235,071 0 0 SCHLUMBERGER LTD COM 806857108 111,378,879 1,487,233 SH DEFINED 4 1,114,493 0 372,740 SCHLUMBERGER LTD COM 806857108 135,219,287 1,805,572 SH DEFINED 5 1,740,492 0 65,080 SCHLUMBERGER LTD COM 806857108 5,054,176 67,488 SH DEFINED 6 67,488 0 0 SCHLUMBERGER LTD COM 806857108 26,856,528 358,613 SH DEFINED 7 345,343 0 13,270 SCHOLASTIC CORP COM 807066105 707,824 26,560 SH SOLE 26,560 0 0 SCHULMAN A INC COM 808194104 2,588,614 82,022 SH SOLE 82,022 0 0 SCHWAB CHARLES CORP NEW COM 808513105 38,091,364 2,153,271 SH SOLE 2,153,271 0 0 SCHWAB CHARLES CORP NEW COM 808513105 14,882,809 841,312 SH DEFINED 1 841,312 0 0
*Please note a de minimis portion of these shares may have non voting authority **13F Filing Report NOTE: Positions of interlisted Canadian issuers are aggregates of purchases made on US and CDN exchanges. Page 38 of 49 MFS 13F REPORT [MFS LOGO] AS OF DATE: 3/31/13 SCHWAB CHARLES CORP NEW COM 808513105 1,777,668 100,490 SH DEFINED 4 100,490 0 0 SCHWAB CHARLES CORP NEW COM 808513105 1,530,822 86,536 SH DEFINED 5 86,536 0 0 SCHWAB CHARLES CORP NEW COM 808513105 3,244,045 183,383 SH DEFINED 7 165,303 0 18,080 SCHWEITZER-MAUDUIT INTL INC COM 808541106 16,974,197 438,270 SH SOLE 438,270 0 0 SCHWEITZER-MAUDUIT INTL INC COM 808541106 41,093 1,061 SH DEFINED 1 1,061 0 0 SCIQUEST INC NEW COM 80908T101 48,319,871 2,009,978 SH SOLE 2,009,978 0 0 SCIQUEST INC NEW COM 80908T101 4,743,813 197,330 SH DEFINED 1 50,110 0 147,220 SCRIPPS NETWORKS INTERACT IN CL A COM 811065101 14,959,050 232,500 SH SOLE 232,500 0 0 SEALED AIR CORP NEW COM 81211K100 9,995,765 414,590 SH SOLE 414,590 0 0 SELECT INCOME REIT COM SH BEN INT 81618T100 2,696,049 101,930 SH SOLE 101,930 0 0 SEMPRA ENERGY COM 816851109 112,287,641 1,404,649 SH SOLE 1,298,779 0 105,870 SENSATA TECHNOLOGIES HLDG BV SHS N7902X106 185,829,460 5,653,467 SH SOLE 5,646,927 0 6,540 SENSATA TECHNOLOGIES HLDG BV SHS N7902X106 36,670,035 1,115,608 SH DEFINED 1 1,046,988 0 68,620 SENSATA TECHNOLOGIES HLDG BV SHS N7902X106 3,512,817 106,870 SH DEFINED 4 106,870 0 0 SENSATA TECHNOLOGIES HLDG BV SHS N7902X106 3,403,754 103,552 SH DEFINED 5 103,552 0 0 SENSATA TECHNOLOGIES HLDG BV SHS N7902X106 252,737 7,689 SH DEFINED 6 7,689 0 0 SENSATA TECHNOLOGIES HLDG BV SHS N7902X106 7,219,896 219,650 SH DEFINED 7 198,220 0 21,430 SENSIENT TECHNOLOGIES CORP COM 81725T100 3,235,479 82,770 SH SOLE 82,770 0 0 SERVICENOW INC COM 81762P102 631,328 17,440 SH SOLE 17,440 0 0 SERVICENOW INC COM 81762P102 55,386 1,530 SH DEFINED 4 1,530 0 0 SHERWIN WILLIAMS CO COM 824348106 35,777,995 211,842 SH SOLE 191,666 0 20,176 SHERWIN WILLIAMS CO COM 824348106 20,829,035 123,329 SH DEFINED 1 89,264 0 34,065 SHERWIN WILLIAMS CO COM 824348106 7,168,367 42,444 SH DEFINED 2 42,444 0 0 SHERWIN WILLIAMS CO COM 824348106 1,918,590 11,360 SH DEFINED 3 11,360 0 0 SHERWIN WILLIAMS CO COM 824348106 17,101,464 101,258 SH DEFINED 4 69,958 0 31,300 SHERWIN WILLIAMS CO COM 824348106 13,944,572 82,566 SH DEFINED 5 79,416 0 3,150 SHERWIN WILLIAMS CO COM 824348106 552,439 3,271 SH DEFINED 6 3,271 0 0 SHERWIN WILLIAMS CO COM 824348106 7,090,002 41,980 SH DEFINED 7 41,500 0 480 SHUTTERFLY INC COM 82568P304 33,487,927 758,160 SH SOLE 758,160 0 0 SHUTTERFLY INC COM 82568P304 2,416,099 54,700 SH DEFINED 1 15,180 0 39,520 SHUTTERSTOCK INC COM 825690100 6,655,241 147,960 SH SOLE 147,960 0 0 SHUTTERSTOCK INC COM 825690100 593,736 13,200 SH DEFINED 1 3,680 0 9,520 SIEMENS A G SPONSORED ADR 826197501 8,020,751 74,404 SH SOLE 74,404 0 0 SIEMENS A G SPONSORED ADR 826197501 11,840,105 109,834 SH DEFINED 7 109,834 0 0 SILGAN HOLDINGS INC COM 827048109 20,434,348 432,290 SH SOLE 432,290 0 0 SILGAN HOLDINGS INC COM 827048109 11,676 247 SH DEFINED 1 247 0 0 SILICONWARE PRECISION INDS L SPONSD ADR SPL 827084864 133,880 22,964 SH SOLE 22,964 0 0 SILICONWARE PRECISION INDS L SPONSD ADR SPL 827084864 77,935 13,368 SH DEFINED 1 13,368 0 0 SIMON PPTY GROUP INC NEW COM 828806109 64,412,939 406,237 SH SOLE 406,237 0 0 SIMON PPTY GROUP INC NEW COM 828806109 2,893,403 18,248 SH DEFINED 1 18,248 0 0 SIRONA DENTAL SYSTEMS INC COM 82966C103 19,528,865 264,870 SH SOLE 264,870 0 0 SIX FLAGS ENTMT CORP NEW COM 83001A102 7,882,200 108,750 SH SOLE 108,750 0 0 SM ENERGY CO COM 78454L100 25,815,005 435,917 SH SOLE 435,917 0 0 SM ENERGY CO COM 78454L100 108,373 1,830 SH DEFINED 1 1,830 0 0 SMITHFIELD FOODS INC COM 832248108 2,665,027 100,643 SH SOLE 100,643 0 0
*Please note a de minimis portion of these shares may have non voting authority **13F Filing Report NOTE: Positions of interlisted Canadian issuers are aggregates of purchases made on US and CDN exchanges. Page 39 of 49 MFS 13F REPORT [MFS LOGO] AS OF DATE: 3/31/13 SMUCKER J M CO COM NEW 832696405 145,730,593 1,469,651 SH SOLE 1,361,334 0 108,317 SMUCKER J M CO COM NEW 832696405 63,030,459 635,644 SH DEFINED 1 480,594 0 155,050 SMUCKER J M CO COM NEW 832696405 16,879,114 170,221 SH DEFINED 2 170,221 0 0 SMUCKER J M CO COM NEW 832696405 4,488,378 45,264 SH DEFINED 3 45,264 0 0 SMUCKER J M CO COM NEW 832696405 24,820,343 250,306 SH DEFINED 4 188,798 0 61,508 SMUCKER J M CO COM NEW 832696405 33,872,858 341,598 SH DEFINED 5 329,124 0 12,474 SMUCKER J M CO COM NEW 832696405 3,374,117 34,027 SH DEFINED 6 34,027 0 0 SMUCKER J M CO COM NEW 832696405 44,622 450 SH DEFINED 7 450 0 0 SOLARWINDS INC COM 83416B109 23,077,664 390,485 SH SOLE 390,485 0 0 SOLARWINDS INC COM 83416B109 29,408,101 497,599 SH DEFINED 1 486,799 0 10,800 SOLARWINDS INC COM 83416B109 2,381,316 40,293 SH DEFINED 6 40,293 0 0 SOUTHERN CO COM 842587107 37,630 802 SH DEFINED 1 802 0 0 SOUTHERN CO COM 842587107 17,049,555 363,375 SH DEFINED 4 0 0 363,375 SPARTAN STORES INC COM 846822104 796,770 45,400 SH SOLE 45,400 0 0 SPECTRA ENERGY CORP COM 847560109 173,711,024 5,649,139 SH SOLE 5,308,779 0 340,360 SPECTRA ENERGY CORP COM 847560109 2,083,343 67,751 SH DEFINED 1 67,751 0 0 SPECTRA ENERGY CORP COM 847560109 144,525 4,700 SH DEFINED 4 4,700 0 0 SPIRIT RLTY CAP INC COM 84860F109 8,018,570 422,030 SH SOLE 422,030 0 0 SPLUNK INC COM 848637104 2,081,560 52,000 SH SOLE 52,000 0 0 SPLUNK INC COM 848637104 180,135 4,500 SH DEFINED 4 4,500 0 0 SS&C TECHNOLOGIES HLDGS INC COM 78467J100 5,196,134 173,320 SH SOLE 173,320 0 0 SS&C TECHNOLOGIES HLDGS INC COM 78467J100 104,930 3,500 SH DEFINED 4 3,500 0 0 ST JUDE MED INC COM 790849103 604,324,724 14,943,737 SH SOLE 13,876,496 0 1,067,241 ST JUDE MED INC COM 790849103 260,510,193 6,441,894 SH DEFINED 1 4,787,455 0 1,654,439 ST JUDE MED INC COM 790849103 73,527,725 1,818,193 SH DEFINED 2 1,818,193 0 0 ST JUDE MED INC COM 790849103 19,550,314 483,440 SH DEFINED 3 483,440 0 0 ST JUDE MED INC COM 790849103 118,443,381 2,928,867 SH DEFINED 4 1,953,467 0 975,400 ST JUDE MED INC COM 790849103 147,573,405 3,649,194 SH DEFINED 5 3,516,484 0 132,710 ST JUDE MED INC COM 790849103 11,381,312 281,437 SH DEFINED 6 281,437 0 0 ST JUDE MED INC COM 790849103 31,378,528 775,928 SH DEFINED 7 770,838 0 5,090 STANDARD MTR PRODS INC COM 853666105 230,076 8,300 SH SOLE 8,300 0 0 STANLEY BLACK & DECKER INC COM 854502101 702,005,042 8,669,940 SH SOLE 8,194,845 0 475,095 STANLEY BLACK & DECKER INC COM 854502101 83,498,369 1,031,226 SH DEFINED 1 614,676 0 416,550 STANLEY BLACK & DECKER INC COM 854502101 20,938,842 258,600 SH DEFINED 4 96,470 0 162,130 STANLEY BLACK & DECKER INC COM 854502101 5,033,581 62,166 SH DEFINED 5 62,166 0 0 STANLEY BLACK & DECKER INC COM 854502101 7,663,325 94,644 SH DEFINED 6 94,644 0 0 STANLEY BLACK & DECKER INC COM 854502101 26,096,388 322,297 SH DEFINED 7 320,527 0 1,770 STAPLES INC COM 855030102 124,866,887 9,304,537 SH SOLE 8,555,341 0 749,196 STAPLES INC COM 855030102 16,688,468 1,243,552 SH DEFINED 1 821,287 0 422,265 STAPLES INC COM 855030102 596,895 44,478 SH DEFINED 5 44,478 0 0 STAPLES INC COM 855030102 2,053,971 153,053 SH DEFINED 6 153,053 0 0 STAPLES INC COM 855030102 43,293 3,226 SH DEFINED 7 3,226 0 0 STARBUCKS CORP COM 855244109 121,770,376 2,138,198 SH SOLE 2,138,198 0 0 STARBUCKS CORP COM 855244109 5,365,260 94,210 SH DEFINED 1 94,210 0 0 STARBUCKS CORP COM 855244109 135,541 2,380 SH DEFINED 4 2,380 0 0
*Please note a de minimis portion of these shares may have non voting authority **13F Filing Report NOTE: Positions of interlisted Canadian issuers are aggregates of purchases made on US and CDN exchanges. Page 40 of 49 MFS 13F REPORT [MFS LOGO] AS OF DATE: 3/31/13 STARBUCKS CORP COM 855244109 303,316 5,326 SH DEFINED 7 5,326 0 0 STARWOOD HOTELS&RESORTS WRLD COM 85590A401 1,286,071 20,180 SH SOLE 20,180 0 0 STATE STR CORP COM 857477103 722,070,700 12,219,846 SH SOLE 11,299,436 0 920,410 STATE STR CORP COM 857477103 354,875,927 6,005,685 SH DEFINED 1 4,471,058 0 1,534,627 STATE STR CORP COM 857477103 97,475,278 1,649,607 SH DEFINED 2 1,649,607 0 0 STATE STR CORP COM 857477103 26,178,170 443,022 SH DEFINED 3 443,022 0 0 STATE STR CORP COM 857477103 161,010,796 2,724,840 SH DEFINED 4 1,905,320 0 819,520 STATE STR CORP COM 857477103 198,602,495 3,361,017 SH DEFINED 5 3,238,707 0 122,310 STATE STR CORP COM 857477103 15,962,454 270,138 SH DEFINED 6 270,138 0 0 STATE STR CORP COM 857477103 18,948,568 320,673 SH DEFINED 7 319,313 0 1,360 STERICYCLE INC COM 858912108 26,540,753 249,960 SH SOLE 249,960 0 0 STEWART INFORMATION SVCS COR COM 860372101 648,466 25,460 SH SOLE 25,460 0 0 STRATASYS LTD SHS M85548101 21,207,623 285,740 SH SOLE 285,740 0 0 STRATASYS LTD SHS M85548101 549,970 7,410 SH DEFINED 1 7,410 0 0 STRYKER CORP COM 863667101 68,571,807 1,051,070 SH SOLE 1,000,010 0 51,060 STRYKER CORP COM 863667101 4,880,604 74,810 SH DEFINED 1 41,580 0 33,230 STRYKER CORP COM 863667101 8,620,161 132,130 SH DEFINED 4 79,660 0 52,470 STRYKER CORP COM 863667101 9,202,102 141,050 SH DEFINED 7 139,640 0 1,410 SUMITOMO MITSUI FINL GROUP I SPONSORED ADR 86562M209 6,490,072 795,352 SH SOLE 795,352 0 0 SUMITOMO MITSUI FINL GROUP I SPONSORED ADR 86562M209 44,178 5,414 SH DEFINED 1 5,414 0 0 SUMITOMO MITSUI FINL GROUP I SPONSORED ADR 86562M209 4,757 583 SH DEFINED 7 583 0 0 SUNCOR ENERGY INC NEW COM 867224107 27,720,597 923,712 SH SOLE 923,712 0 0 SUNCOR ENERGY INC NEW COM 867224107 24,305,999 809,930 SH DEFINED 1 192,711 0 617,219 SUNCOR ENERGY INC NEW COM 867224107 6,908,452 230,205 SH DEFINED 4 0 0 230,205 SUNCOR ENERGY INC NEW COM 867224107 10,747,541 358,132 SH DEFINED 6 358,132 0 0 SUNCOR ENERGY INC NEW COM 867224107 257,383,976 8,576,607 SH DEFINED 7 8,183,535 0 393,072 SUNTRUST BKS INC COM 867914103 58,684,645 2,036,954 SH SOLE 1,969,254 0 67,700 SUNTRUST BKS INC COM 867914103 2,295,005 79,660 SH DEFINED 1 79,660 0 0 SUNTRUST BKS INC COM 867914103 157,591 5,470 SH DEFINED 4 5,470 0 0 SUPERIOR ENERGY SVCS INC COM 868157108 46,035,721 1,772,650 SH SOLE 1,772,650 0 0 SUPERIOR ENERGY SVCS INC COM 868157108 2,893,318 111,410 SH DEFINED 1 31,230 0 80,180 SURMODICS INC COM 868873100 640,920 23,520 SH SOLE 23,520 0 0 SWIFT TRANSN CO CL A 87074U101 74,799,486 5,274,999 SH SOLE 5,274,999 0 0 SWIFT TRANSN CO CL A 87074U101 5,444,127 383,930 SH DEFINED 1 106,310 0 277,620 SYKES ENTERPRISES INC COM 871237103 739,586 46,340 SH SOLE 46,340 0 0 SYMANTEC CORP COM 871503108 48,129,282 1,950,133 SH SOLE 1,950,133 0 0 SYMANTEC CORP COM 871503108 8,489,032 343,964 SH DEFINED 1 343,964 0 0 SYMANTEC CORP COM 871503108 279,871 11,340 SH DEFINED 4 11,340 0 0 SYMANTEC CORP COM 871503108 5,577,927 226,010 SH DEFINED 7 226,010 0 0 SYMETRA FINL CORP COM 87151Q106 11,038,871 823,182 SH SOLE 823,182 0 0 SYMMETRY MED INC COM 871546206 654,024 57,120 SH SOLE 57,120 0 0 TAIWAN SEMICONDUCTOR MFG LTD SPONSORED ADR 874039100 515,602,550 29,994,331 SH SOLE 29,846,026 0 148,305 TAIWAN SEMICONDUCTOR MFG LTD SPONSORED ADR 874039100 250,617,187 14,579,243 SH DEFINED 1 8,791,816 0 5,787,427 TAIWAN SEMICONDUCTOR MFG LTD SPONSORED ADR 874039100 27,606,796 1,605,980 SH DEFINED 4 252,180 0 1,353,800 TAIWAN SEMICONDUCTOR MFG LTD SPONSORED ADR 874039100 18,035,353 1,049,177 SH DEFINED 5 1,049,177 0 0
*Please note a de minimis portion of these shares may have non voting authority **13F Filing Report NOTE: Positions of interlisted Canadian issuers are aggregates of purchases made on US and CDN exchanges. Page 41 of 49 MFS 13F REPORT [MFS LOGO] AS OF DATE: 3/31/13 TAIWAN SEMICONDUCTOR MFG LTD SPONSORED ADR 874039100 41,201,645 2,396,838 SH DEFINED 6 2,396,838 0 0 TAIWAN SEMICONDUCTOR MFG LTD SPONSORED ADR 874039100 30,839,479 1,794,036 SH DEFINED 7 1,750,166 0 43,870 TALISMAN ENERGY INC COM 87425E103 58,709,264 4,792,593 SH DEFINED 7 4,544,723 0 247,870 TANGER FACTORY OUTLET CTRS I COM 875465106 32,066,045 886,292 SH SOLE 886,292 0 0 TARGA RES CORP COM 87612G101 1,047,332 15,411 SH SOLE 15,411 0 0 TARGET CORP COM 87612E106 1,110,161,664 16,218,578 SH SOLE 15,239,894 0 978,684 TARGET CORP COM 87612E106 280,944,400 4,104,374 SH DEFINED 1 2,991,847 0 1,112,527 TARGET CORP COM 87612E106 49,519,742 723,444 SH DEFINED 2 723,444 0 0 TARGET CORP COM 87612E106 13,144,111 192,025 SH DEFINED 3 192,025 0 0 TARGET CORP COM 87612E106 105,527,243 1,541,669 SH DEFINED 4 1,004,849 0 536,820 TARGET CORP COM 87612E106 105,825,890 1,546,032 SH DEFINED 5 1,492,912 0 53,120 TARGET CORP COM 87612E106 16,031,538 234,208 SH DEFINED 6 234,208 0 0 TARGET CORP COM 87612E106 58,444,047 853,821 SH DEFINED 7 846,391 0 7,430 TATA MTRS LTD SPONSORED ADR 876568502 2,141,245 87,720 SH DEFINED 1 87,720 0 0 TCF FINL CORP COM 872275102 19,087,763 1,275,920 SH SOLE 1,275,920 0 0 TD AMERITRADE HLDG CORP COM 87236Y108 9,304,012 451,213 SH SOLE 451,213 0 0 TECH DATA CORP COM 878237106 631,877 13,860 SH SOLE 13,860 0 0 TECK RESOURCES LTD CL B 878742204 2,310,669 82,055 SH SOLE 82,055 0 0 TECK RESOURCES LTD CL B 878742204 1,830,062 64,988 SH DEFINED 1 64,988 0 0 TECK RESOURCES LTD CL B 878742204 79,434,798 2,820,838 SH DEFINED 7 2,633,892 0 186,946 TELECOM ITALIA S P A NEW SPON ADR ORD 87927Y102 665,479 93,335 SH SOLE 93,335 0 0 TELECOM ITALIA S P A NEW SPON ADR ORD 87927Y102 245,678 34,457 SH DEFINED 7 34,457 0 0 TELECOM ITALIA S P A NEW SPON ADR SVGS 87927Y201 310,246 50,860 SH DEFINED 7 37,520 0 13,340 TELEFLEX INC COM 879369106 15,549,502 183,996 SH SOLE 183,996 0 0 TELEFONICA BRASIL SA SPONSORED ADR 87936R106 64,375,452 2,412,873 SH SOLE 2,219,300 0 193,573 TELEFONICA BRASIL SA SPONSORED ADR 87936R106 34,364 1,288 SH DEFINED 1 1,288 0 0 TELUS CORP COM 87971M103 17,969 260 SH DEFINED 1 260 0 0 TELUS CORP COM 87971M103 33,672,465 487,230 SH DEFINED 7 487,230 0 0 TENARIS S A SPONSORED ADR 88031M109 24,389,988 598,087 SH SOLE 598,087 0 0 TENARIS S A SPONSORED ADR 88031M109 7,114,479 174,460 SH DEFINED 1 82,860 0 91,600 TENARIS S A SPONSORED ADR 88031M109 241,825 5,930 SH DEFINED 6 5,930 0 0 TERNIUM SA SPON ADR 880890108 2,068,048 101,624 SH SOLE 101,624 0 0 TERNIUM SA SPON ADR 880890108 1,112,880 54,687 SH DEFINED 1 2,017 0 52,670 TERNIUM SA SPON ADR 880890108 121,693 5,980 SH DEFINED 7 4,410 0 1,570 TESCO CORP COM 88157K101 5,769,483 430,880 SH SOLE 430,880 0 0 TEXTRON INC COM 883203101 1,202,237 40,330 SH SOLE 40,330 0 0 TEXTRON INC COM 883203101 83,766 2,810 SH DEFINED 1 2,810 0 0 THERMO FISHER SCIENTIFIC INC COM 883556102 1,156,753,910 15,122,943 SH SOLE 14,348,934 0 774,009 THERMO FISHER SCIENTIFIC INC COM 883556102 766,068,232 10,015,273 SH DEFINED 1 7,429,655 0 2,585,618 THERMO FISHER SCIENTIFIC INC COM 883556102 127,906,654 1,672,201 SH DEFINED 2 1,672,201 0 0 THERMO FISHER SCIENTIFIC INC COM 883556102 27,973,693 365,717 SH DEFINED 3 365,717 0 0 THERMO FISHER SCIENTIFIC INC COM 883556102 268,647,872 3,512,196 SH DEFINED 4 2,896,916 0 615,280 THERMO FISHER SCIENTIFIC INC COM 883556102 224,149,585 2,930,443 SH DEFINED 5 2,830,073 0 100,370 THERMO FISHER SCIENTIFIC INC COM 883556102 18,062,272 236,139 SH DEFINED 6 236,139 0 0 THERMO FISHER SCIENTIFIC INC COM 883556102 51,864,121 678,051 SH DEFINED 7 664,721 0 13,330
*Please note a de minimis portion of these shares may have non voting authority **13F Filing Report NOTE: Positions of interlisted Canadian issuers are aggregates of purchases made on US and CDN exchanges. Page 42 of 49 MFS 13F REPORT [MFS LOGO] AS OF DATE: 3/31/13 THOMSON REUTERS CORP COM 884903105 22,405,548 689,826 SH DEFINED 7 648,936 0 40,890 THOR INDS INC COM 885160101 2,489,211 67,660 SH SOLE 67,660 0 0 TIBCO SOFTWARE INC COM 88632Q103 46,744,357 2,312,360 SH SOLE 2,312,360 0 0 TIBCO SOFTWARE INC COM 88632Q103 1,886,868 93,340 SH DEFINED 1 93,340 0 0 TIBCO SOFTWARE INC COM 88632Q103 240,761 11,910 SH DEFINED 4 11,910 0 0 TIBCO SOFTWARE INC COM 88632Q103 3,899,453 192,899 SH DEFINED 7 192,899 0 0 TIFFANY & CO NEW COM 886547108 155,097,218 2,230,331 SH SOLE 2,186,441 0 43,890 TIFFANY & CO NEW COM 886547108 10,308,471 148,238 SH DEFINED 1 72,508 0 75,730 TIFFANY & CO NEW COM 886547108 7,722,417 111,050 SH DEFINED 4 66,670 0 44,380 TIFFANY & CO NEW COM 886547108 17,437,085 250,749 SH DEFINED 7 249,549 0 1,200 TILLYS INC CL A 886885102 1,809,038 142,220 SH SOLE 142,220 0 0 TIM HORTONS INC COM 88706M103 29,052,454 534,839 SH DEFINED 7 490,169 0 44,670 TIM PARTICIPACOES S A SPONSORED ADR 88706P205 223,031,855 10,193,412 SH SOLE 9,739,867 0 453,545 TIM PARTICIPACOES S A SPONSORED ADR 88706P205 21,187,957 968,371 SH DEFINED 1 706,431 0 261,940 TIM PARTICIPACOES S A SPONSORED ADR 88706P205 2,148,835 98,210 SH DEFINED 6 98,210 0 0 TIM PARTICIPACOES S A SPONSORED ADR 88706P205 8,999,288 411,302 SH DEFINED 7 411,302 0 0 TIME WARNER CABLE INC COM 88732J207 426,155,589 4,436,348 SH SOLE 4,195,230 0 241,118 TIME WARNER CABLE INC COM 88732J207 99,249,480 1,033,203 SH DEFINED 1 905,993 0 127,210 TIME WARNER CABLE INC COM 88732J207 20,980,465 218,410 SH DEFINED 2 218,410 0 0 TIME WARNER CABLE INC COM 88732J207 5,614,707 58,450 SH DEFINED 3 58,450 0 0 TIME WARNER CABLE INC COM 88732J207 31,089,819 323,650 SH DEFINED 4 244,100 0 79,550 TIME WARNER CABLE INC COM 88732J207 41,885,042 436,030 SH DEFINED 5 419,880 0 16,150 TIME WARNER CABLE INC COM 88732J207 4,055,941 42,223 SH DEFINED 6 42,223 0 0 TIME WARNER CABLE INC COM 88732J207 283,377 2,950 SH DEFINED 7 2,950 0 0 TIME WARNER INC COM NEW 887317303 189,051,796 3,281,010 SH SOLE 3,153,620 0 127,390 TIME WARNER INC COM NEW 887317303 84,245,050 1,462,080 SH DEFINED 1 1,222,940 0 239,140 TIME WARNER INC COM NEW 887317303 24,771,990 429,920 SH DEFINED 2 429,920 0 0 TIME WARNER INC COM NEW 887317303 6,687,377 116,060 SH DEFINED 3 116,060 0 0 TIME WARNER INC COM NEW 887317303 37,232,315 646,170 SH DEFINED 4 487,970 0 158,200 TIME WARNER INC COM NEW 887317303 50,816,807 881,930 SH DEFINED 5 849,800 0 32,130 TIME WARNER INC COM NEW 887317303 1,919,898 33,320 SH DEFINED 6 33,320 0 0 TIME WARNER INC COM NEW 887317303 3,135,680 54,420 SH DEFINED 7 49,540 0 4,880 TMS INTL CORP CL A 87261Q103 4,728,768 358,240 SH SOLE 358,240 0 0 TORNIER N V SHS N87237108 1,099,332 58,320 SH SOLE 58,320 0 0 TORONTO DOMINION BK ONT COM NEW 891160509 5,511,558 66,189 SH SOLE 66,189 0 0 TORONTO DOMINION BK ONT COM NEW 891160509 4,118,784 49,463 SH DEFINED 1 5,486 0 43,977 TORONTO DOMINION BK ONT COM NEW 891160509 3,331,633 40,010 SH DEFINED 4 0 0 40,010 TORONTO DOMINION BK ONT COM NEW 891160509 1,332,153 15,998 SH DEFINED 5 15,998 0 0 TORONTO DOMINION BK ONT COM NEW 891160509 365,708,850 4,391,844 SH DEFINED 7 4,175,785 0 216,059 TRACTOR SUPPLY CO COM 892356106 60,107,064 577,231 SH SOLE 577,231 0 0 TRACTOR SUPPLY CO COM 892356106 1,655,250 15,896 SH DEFINED 1 15,896 0 0 TRACTOR SUPPLY CO COM 892356106 154,217 1,481 SH DEFINED 7 1,481 0 0 TRANSALTA CORP COM 89346D107 497,032 34,090 SH DEFINED 7 25,150 0 8,940 TRANSCANADA CORP COM 89353D107 26,048,808 543,930 SH SOLE 501,580 0 42,350 TRANSCANADA CORP COM 89353D107 9,578 200 SH DEFINED 1 200 0 0
*Please note a de minimis portion of these shares may have non voting authority **13F Filing Report NOTE: Positions of interlisted Canadian issuers are aggregates of purchases made on US and CDN exchanges. Page 43 of 49 MFS 13F REPORT [MFS LOGO] AS OF DATE: 3/31/13 TRANSCANADA CORP COM 89353D107 130,671,074 2,728,567 SH DEFINED 7 2,592,457 0 136,110 TRANSDIGM GROUP INC COM 893641100 22,086,236 144,430 SH SOLE 144,430 0 0 TRAVELERS COMPANIES INC COM 89417E109 693,443,479 8,236,649 SH SOLE 7,661,510 0 575,139 TRAVELERS COMPANIES INC COM 89417E109 100,576,236 1,194,634 SH DEFINED 1 709,141 0 485,493 TRAVELERS COMPANIES INC COM 89417E109 9,240,694 109,760 SH DEFINED 4 0 0 109,760 TRAVELERS COMPANIES INC COM 89417E109 6,465,455 76,796 SH DEFINED 5 76,796 0 0 TRAVELERS COMPANIES INC COM 89417E109 10,752,410 127,716 SH DEFINED 6 127,716 0 0 TRAVELERS COMPANIES INC COM 89417E109 2,488,320 29,556 SH DEFINED 7 29,556 0 0 TRIMAS CORP COM NEW 896215209 6,954,100 214,170 SH SOLE 214,170 0 0 TRONOX LTD SHS CL A Q9235V101 49,948,340 2,521,370 SH SOLE 2,521,370 0 0 TRONOX LTD SHS CL A Q9235V101 4,283,913 216,250 SH DEFINED 1 60,520 0 155,730 TRW AUTOMOTIVE HLDGS CORP COM 87264S106 13,770,900 250,380 SH SOLE 250,380 0 0 TUTOR PERINI CORP COM 901109108 452,199 23,430 SH SOLE 23,430 0 0 TYCO INTERNATIONAL LTD SHS H89128104 497,392,064 15,543,502 SH SOLE 14,460,172 0 1,083,330 TYCO INTERNATIONAL LTD SHS H89128104 72,663,008 2,270,719 SH DEFINED 1 1,348,873 0 921,846 TYCO INTERNATIONAL LTD SHS H89128104 6,498,880 203,090 SH DEFINED 4 0 0 203,090 TYCO INTERNATIONAL LTD SHS H89128104 4,376,640 136,770 SH DEFINED 5 136,770 0 0 TYCO INTERNATIONAL LTD SHS H89128104 7,914,080 247,315 SH DEFINED 6 247,315 0 0 TYCO INTERNATIONAL LTD SHS H89128104 1,754,240 54,820 SH DEFINED 7 54,820 0 0 TYSON FOODS INC CL A 902494103 20,325,942 818,934 SH SOLE 818,934 0 0 TYSON FOODS INC CL A 902494103 24,885,897 1,002,655 SH DEFINED 1 1,002,655 0 0 TYSON FOODS INC CL A 902494103 2,060,556 83,020 SH DEFINED 6 83,020 0 0 U S AIRWAYS GROUP INC COM 90341W108 21,967,665 1,294,500 SH SOLE 1,294,500 0 0 U S AIRWAYS GROUP INC COM 90341W108 1,998,218 117,750 SH DEFINED 1 32,870 0 84,880 UBS AG SHS NEW H89231338 4,273,034 277,650 SH SOLE 277,650 0 0 UBS AG SHS NEW H89231338 706,401 45,900 SH DEFINED 7 45,900 0 0 UGI CORP NEW COM 902681105 3,623,670 94,391 SH SOLE 94,391 0 0 ULTRATECH INC COM 904034105 24,472,628 619,090 SH SOLE 619,090 0 0 ULTRATECH INC COM 904034105 1,671,724 42,290 SH DEFINED 1 11,840 0 30,450 UNION PAC CORP COM 907818108 136,593,691 959,158 SH SOLE 943,498 0 15,660 UNION PAC CORP COM 907818108 20,648,596 144,994 SH DEFINED 1 122,934 0 22,060 UNION PAC CORP COM 907818108 6,812,894 47,840 SH DEFINED 4 1,950 0 45,890 UNION PAC CORP COM 907818108 888,638 6,240 SH DEFINED 6 6,240 0 0 UNION PAC CORP COM 907818108 23,762,960 166,863 SH DEFINED 7 165,653 0 1,210 UNISYS CORP COM NEW 909214306 959,368 42,170 SH SOLE 42,170 0 0 UNIT CORP COM 909218109 1,755,953 38,550 SH SOLE 38,550 0 0 UNITED CONTL HLDGS INC COM 910047109 21,037,612 657,220 SH SOLE 657,220 0 0 UNITED CONTL HLDGS INC COM 910047109 1,351,462 42,220 SH DEFINED 1 11,830 0 30,390 UNITED PARCEL SERVICE INC CL B 911312106 914,110,434 10,641,565 SH SOLE 9,825,506 0 816,059 UNITED PARCEL SERVICE INC CL B 911312106 679,265,675 7,907,633 SH DEFINED 1 5,649,640 0 2,257,993 UNITED PARCEL SERVICE INC CL B 911312106 104,601,117 1,217,708 SH DEFINED 2 1,217,708 0 0 UNITED PARCEL SERVICE INC CL B 911312106 22,417,065 260,967 SH DEFINED 3 260,967 0 0 UNITED PARCEL SERVICE INC CL B 911312106 239,771,553 2,791,287 SH DEFINED 4 2,321,087 0 470,200 UNITED PARCEL SERVICE INC CL B 911312106 181,787,421 2,116,268 SH DEFINED 5 2,044,218 0 72,050 UNITED PARCEL SERVICE INC CL B 911312106 21,123,927 245,913 SH DEFINED 6 245,913 0 0
*Please note a de minimis portion of these shares may have non voting authority **13F Filing Report NOTE: Positions of interlisted Canadian issuers are aggregates of purchases made on US and CDN exchanges. Page 44 of 49 MFS 13F REPORT [MFS LOGO] AS OF DATE: 3/31/13 UNITED PARCEL SERVICE INC CL B 911312106 18,872,144 219,699 SH DEFINED 7 217,989 0 1,710 UNITED RENTALS INC COM 911363109 24,563,509 446,853 SH SOLE 446,853 0 0 UNITED RENTALS INC COM 911363109 2,201,603 40,051 SH DEFINED 1 13,916 0 26,135 UNITED TECHNOLOGIES CORP COM 913017109 1,468,669,615 15,719,465 SH SOLE 14,726,031 0 993,434 UNITED TECHNOLOGIES CORP UNIT 99/99/9999 913017117 38,867,787 649,420 SH SOLE 590,750 0 58,670 UNITED TECHNOLOGIES CORP COM 913017109 762,947,325 8,165,978 SH DEFINED 1 5,914,914 0 2,251,064 UNITED TECHNOLOGIES CORP UNIT 99/99/9999 913017117 5,800,662 96,920 SH DEFINED 1 62,180 0 34,740 UNITED TECHNOLOGIES CORP COM 913017109 111,905,969 1,197,752 SH DEFINED 2 1,197,752 0 0 UNITED TECHNOLOGIES CORP COM 913017109 24,918,902 266,712 SH DEFINED 3 266,712 0 0 UNITED TECHNOLOGIES CORP COM 913017109 284,058,779 3,040,338 SH DEFINED 4 2,271,468 0 768,870 UNITED TECHNOLOGIES CORP COM 913017109 208,856,972 2,235,438 SH DEFINED 5 2,161,798 0 73,640 UNITED TECHNOLOGIES CORP COM 913017109 24,697,006 264,337 SH DEFINED 6 264,337 0 0 UNITED TECHNOLOGIES CORP UNIT 99/99/9999 913017117 779,846 13,030 SH DEFINED 6 13,030 0 0 UNITED TECHNOLOGIES CORP COM 913017109 54,137,733 579,447 SH DEFINED 7 564,887 0 14,560 UNITED TECHNOLOGIES CORP UNIT 99/99/9999 913017117 8,379 140 SH DEFINED 7 140 0 0 UNITEDHEALTH GROUP INC COM 91324P102 37,133,581 649,075 SH SOLE 649,075 0 0 UNITEDHEALTH GROUP INC COM 91324P102 3,798,458 66,395 SH DEFINED 1 60,935 0 5,460 UNITEDHEALTH GROUP INC COM 91324P102 237,422 4,150 SH DEFINED 4 4,150 0 0 UNIVERSAL DISPLAY CORP COM 91347P105 6,510,151 221,208 SH SOLE 221,208 0 0 UNIVERSAL DISPLAY CORP COM 91347P105 596,252 20,260 SH DEFINED 1 5,770 0 14,490 UNIVERSAL HLTH SVCS INC CL B 913903100 6,015,277 94,180 SH SOLE 94,180 0 0 UNUM GROUP COM 91529Y106 9,619,238 340,504 SH SOLE 340,504 0 0 URBAN OUTFITTERS INC COM 917047102 5,181,514 133,751 SH SOLE 133,751 0 0 URBAN OUTFITTERS INC COM 917047102 203,579 5,255 SH DEFINED 1 5,255 0 0 UROPLASTY INC COM NEW 917277204 6,110,729 2,454,108 SH SOLE 2,454,108 0 0 UROPLASTY INC COM NEW 917277204 335,403 134,700 SH DEFINED 1 0 0 134,700 URS CORP NEW COM 903236107 3,371,325 71,110 SH SOLE 71,110 0 0 URS CORP NEW COM 903236107 22,994 485 SH DEFINED 1 485 0 0 V F CORP COM 918204108 180,880,799 1,078,276 SH SOLE 1,044,426 0 33,850 V F CORP COM 918204108 9,412,453 56,110 SH DEFINED 1 29,960 0 26,150 V F CORP COM 918204108 14,124,550 84,200 SH DEFINED 4 50,170 0 34,030 V F CORP COM 918204108 24,787,243 147,763 SH DEFINED 7 146,833 0 930 VALE S A ADR 91912E105 65,739,831 3,802,188 SH SOLE 3,802,188 0 0 VALE S A ADR 91912E105 18,228,346 1,054,271 SH DEFINED 1 575,221 0 479,050 VALE S A ADR 91912E105 702,147 40,610 SH DEFINED 6 40,610 0 0 VALEANT PHARMACEUTICALS INTL COM 91911K102 152,442,140 2,032,020 SH SOLE 1,959,070 0 72,950 VALEANT PHARMACEUTICALS INTL COM 91911K102 37,494,921 499,799 SH DEFINED 1 326,619 0 173,180 VALEANT PHARMACEUTICALS INTL COM 91911K102 10,940,917 145,840 SH DEFINED 4 86,710 0 59,130 VALEANT PHARMACEUTICALS INTL COM 91911K102 132,206,171 1,762,279 SH DEFINED 7 1,670,699 0 91,580 VALERO ENERGY CORP NEW COM 91913Y100 17,908,776 393,686 SH SOLE 393,686 0 0 VALERO ENERGY CORP NEW COM 91913Y100 7,518,906 165,287 SH DEFINED 1 155,267 0 10,020 VALIDUS HOLDINGS LTD COM SHS G9319H102 39,668,890 1,061,517 SH SOLE 1,061,517 0 0 VALIDUS HOLDINGS LTD COM SHS G9319H102 20,533,283 549,459 SH DEFINED 1 549,459 0 0 VALIDUS HOLDINGS LTD COM SHS G9319H102 1,710,799 45,780 SH DEFINED 6 45,780 0 0 VANGUARD HEALTH SYS INC COM 922036207 18,131,586 1,219,340 SH SOLE 1,219,340 0 0
*Please note a de minimis portion of these shares may have non voting authority **13F Filing Report NOTE: Positions of interlisted Canadian issuers are aggregates of purchases made on US and CDN exchanges. Page 45 of 49 MFS 13F REPORT [MFS LOGO] AS OF DATE: 3/31/13 VANGUARD HEALTH SYS INC COM 922036207 1,495,179 100,550 SH DEFINED 1 28,240 0 72,310 VANTIV INC CL A 92210H105 23,203,713 977,410 SH SOLE 977,410 0 0 VEECO INSTRS INC DEL COM 922417100 46,416,372 1,208,445 SH SOLE 1,208,445 0 0 VEECO INSTRS INC DEL COM 922417100 3,778,507 98,373 SH DEFINED 1 27,670 0 70,703 VENTAS INC COM 92276F100 28,359,876 387,430 SH SOLE 387,430 0 0 VERIFONE SYS INC COM 92342Y109 1,543,555 74,640 SH SOLE 74,640 0 0 VERISIGN INC COM 92343E102 319,120 6,751 SH SOLE 6,751 0 0 VERISK ANALYTICS INC CL A 92345Y106 179,035,431 2,905,476 SH SOLE 2,905,476 0 0 VERISK ANALYTICS INC CL A 92345Y106 16,254,986 263,794 SH DEFINED 1 263,794 0 0 VERISK ANALYTICS INC CL A 92345Y106 1,578,704 25,620 SH DEFINED 4 25,620 0 0 VERISK ANALYTICS INC CL A 92345Y106 1,241,273 20,144 SH DEFINED 5 20,144 0 0 VERISK ANALYTICS INC CL A 92345Y106 2,995,471 48,612 SH DEFINED 7 44,442 0 4,170 VERIZON COMMUNICATIONS INC COM 92343V104 606,529,923 12,340,385 SH SOLE 11,494,625 0 845,760 VERIZON COMMUNICATIONS INC COM 92343V104 94,262,573 1,917,855 SH DEFINED 1 1,418,506 0 499,349 VERIZON COMMUNICATIONS INC COM 92343V104 371,083 7,550 SH DEFINED 4 7,550 0 0 VERIZON COMMUNICATIONS INC COM 92343V104 1,863,277 37,910 SH DEFINED 5 37,910 0 0 VERIZON COMMUNICATIONS INC COM 92343V104 8,895,560 180,988 SH DEFINED 6 180,988 0 0 VERIZON COMMUNICATIONS INC COM 92343V104 12,716,580 258,730 SH DEFINED 7 258,730 0 0 VERMILION ENERGY INC COM 923725105 21,977,672 423,952 SH DEFINED 7 421,850 0 2,102 VIACOM INC NEW CL B 92553P201 703,230,188 11,438,357 SH SOLE 10,795,013 0 643,344 VIACOM INC NEW CL B 92553P201 185,850,843 3,022,948 SH DEFINED 1 2,275,313 0 747,635 VIACOM INC NEW CL B 92553P201 22,837,238 371,458 SH DEFINED 2 371,458 0 0 VIACOM INC NEW CL B 92553P201 6,069,367 98,721 SH DEFINED 3 98,721 0 0 VIACOM INC NEW CL B 92553P201 42,057,546 684,085 SH DEFINED 4 433,445 0 250,640 VIACOM INC NEW CL B 92553P201 51,301,187 834,437 SH DEFINED 5 807,327 0 27,110 VIACOM INC NEW CL B 92553P201 12,983,100 211,176 SH DEFINED 6 211,176 0 0 VIACOM INC NEW CL B 92553P201 4,832,328 78,600 SH DEFINED 7 74,700 0 3,900 VIRGIN MEDIA INC COM 92769L101 238,473,959 4,869,797 SH SOLE 4,500,047 0 369,750 VIRGIN MEDIA INC NOTE 6.500%11/1 92769LAB7 66,856,872 25,439,000 PR SOLE 23,445,000 0 1,994,000 VIRGIN MEDIA INC COM 92769L101 784,401 16,018 SH DEFINED 1 12,778 0 3,240 VIRGIN MEDIA INC COM 92769L101 776,762 15,862 SH DEFINED 6 15,862 0 0 VIRGIN MEDIA INC COM 92769L101 7,483,008 152,808 SH DEFINED 7 152,808 0 0 VIROPHARMA INC COM 928241108 43,123,234 1,713,960 SH SOLE 1,713,960 0 0 VIROPHARMA INC COM 928241108 2,781,941 110,570 SH DEFINED 1 66,830 0 43,740 VIROPHARMA INC COM 928241108 85,544 3,400 SH DEFINED 4 3,400 0 0 VIRTUSA CORP COM 92827P102 838,015 35,270 SH SOLE 35,270 0 0 VISA INC COM CL A 92826C839 827,372,503 4,871,482 SH SOLE 4,703,875 0 167,607 VISA INC COM CL A 92826C839 680,148,227 4,004,641 SH DEFINED 1 2,998,047 0 1,006,594 VISA INC COM CL A 92826C839 127,951,342 753,364 SH DEFINED 2 753,364 0 0 VISA INC COM CL A 92826C839 28,281,077 166,516 SH DEFINED 3 166,516 0 0 VISA INC COM CL A 92826C839 287,302,533 1,691,607 SH DEFINED 4 1,409,427 0 282,180 VISA INC COM CL A 92826C839 222,214,070 1,308,373 SH DEFINED 5 1,262,993 0 45,380 VISA INC COM CL A 92826C839 8,555,690 50,375 SH DEFINED 6 50,375 0 0 VISA INC COM CL A 92826C839 55,015,252 323,924 SH DEFINED 7 317,314 0 6,610 VISHAY INTERTECHNOLOGY INC COM 928298108 1,679,610 123,410 SH SOLE 123,410 0 0
*Please note a de minimis portion of these shares may have non voting authority **13F Filing Report NOTE: Positions of interlisted Canadian issuers are aggregates of purchases made on US and CDN exchanges. Page 46 of 49 MFS 13F REPORT [MFS LOGO] AS OF DATE: 3/31/13 VISHAY INTERTECHNOLOGY INC COM 928298108 146,444 10,760 SH DEFINED 4 10,760 0 0 VOCUS INC COM 92858J108 596,564 42,160 SH SOLE 42,160 0 0 VODAFONE GROUP PLC NEW SPONS ADR NEW 92857W209 47,581,104 1,675,391 SH SOLE 1,370,581 0 304,810 VODAFONE GROUP PLC NEW SPONS ADR NEW 92857W209 73,086,633 2,573,473 SH DEFINED 1 1,748,171 0 825,302 VODAFONE GROUP PLC NEW SPONS ADR NEW 92857W209 3,358,158 118,245 SH DEFINED 5 118,245 0 0 VODAFONE GROUP PLC NEW SPONS ADR NEW 92857W209 11,666,720 410,800 SH DEFINED 6 410,800 0 0 VODAFONE GROUP PLC NEW SPONS ADR NEW 92857W209 4,604,833 162,142 SH DEFINED 7 162,142 0 0 VOLCANO CORPORATION COM 928645100 23,321,379 1,047,681 SH SOLE 1,047,681 0 0 VOLCANO CORPORATION COM 928645100 2,113,587 94,950 SH DEFINED 1 26,960 0 67,990 VORNADO RLTY TR SH BEN INT 929042109 36,026,675 430,735 SH SOLE 430,735 0 0 VORNADO RLTY TR SH BEN INT 929042109 4,784,208 57,200 SH DEFINED 1 57,200 0 0 WABCO HLDGS INC COM 92927K102 46,387,936 657,146 SH SOLE 657,146 0 0 WABCO HLDGS INC COM 92927K102 2,897,084 41,041 SH DEFINED 1 11,731 0 29,310 WALGREEN CO COM 931422109 114,754,364 2,406,761 SH SOLE 2,206,372 0 200,389 WALGREEN CO COM 931422109 187,029,044 3,922,589 SH DEFINED 1 3,255,117 0 667,472 WALGREEN CO COM 931422109 57,361,519 1,203,052 SH DEFINED 2 1,203,052 0 0 WALGREEN CO COM 931422109 15,444,553 323,921 SH DEFINED 3 323,921 0 0 WALGREEN CO COM 931422109 84,793,826 1,778,394 SH DEFINED 4 1,336,804 0 441,590 WALGREEN CO COM 931422109 114,072,827 2,392,467 SH DEFINED 5 2,302,787 0 89,680 WALGREEN CO COM 931422109 6,811,088 142,850 SH DEFINED 6 142,850 0 0 WALTER INVT MGMT CORP COM 93317W102 495,425 13,300 SH SOLE 13,300 0 0 WATERS CORP COM 941848103 139,813,114 1,488,799 SH SOLE 1,423,404 0 65,395 WATERS CORP COM 941848103 407,558,788 4,339,887 SH DEFINED 1 3,171,129 0 1,168,758 WATERS CORP COM 941848103 68,864,203 733,300 SH DEFINED 2 733,300 0 0 WATERS CORP COM 941848103 14,000,854 149,088 SH DEFINED 3 149,088 0 0 WATERS CORP COM 941848103 146,631,262 1,561,402 SH DEFINED 4 1,358,122 0 203,280 WATERS CORP COM 941848103 114,250,718 1,216,598 SH DEFINED 5 1,175,398 0 41,200 WATERS CORP COM 941848103 4,028,833 42,901 SH DEFINED 6 42,901 0 0 WATERS CORP COM 941848103 6,981,363 74,341 SH DEFINED 7 69,411 0 4,930 WELLPOINT INC COM 94973V107 5,132,759 77,499 SH SOLE 77,499 0 0 WELLPOINT INC COM 94973V107 2,668,473 40,291 SH DEFINED 1 40,291 0 0 WELLS FARGO & CO NEW COM 949746101 1,164,938,536 31,493,337 SH SOLE 29,601,715 0 1,891,622 WELLS FARGO & CO NEW COM 949746101 173,843,235 4,699,736 SH DEFINED 1 2,961,395 0 1,738,341 WELLS FARGO & CO NEW COM 949746101 38,262,123 1,034,391 SH DEFINED 4 418,971 0 615,420 WELLS FARGO & CO NEW COM 949746101 8,875,085 239,932 SH DEFINED 5 239,932 0 0 WELLS FARGO & CO NEW COM 949746101 17,120,415 462,839 SH DEFINED 6 462,839 0 0 WELLS FARGO & CO NEW COM 949746101 44,594,589 1,205,585 SH DEFINED 7 1,198,105 0 7,480 WESCO INTL INC COM 95082P105 23,278,766 320,600 SH SOLE 320,600 0 0 WESTAR ENERGY INC COM 95709T100 29,938,712 902,312 SH DEFINED 4 0 0 902,312 WESTERN DIGITAL CORP COM 958102105 14,080,697 279,990 SH SOLE 279,990 0 0 WESTERN DIGITAL CORP COM 958102105 17,564,889 349,272 SH DEFINED 1 349,272 0 0 WESTERN DIGITAL CORP COM 958102105 1,468,971 29,210 SH DEFINED 6 29,210 0 0 WESTERN REFNG INC COM 959319104 976,254 27,570 SH SOLE 27,570 0 0 WESTERN REFNG INC COM 959319104 41,748 1,179 SH DEFINED 1 1,179 0 0 WESTERN UN CO COM 959802109 277,749,922 18,467,415 SH SOLE 17,080,095 0 1,387,320
*Please note a de minimis portion of these shares may have non voting authority **13F Filing Report NOTE: Positions of interlisted Canadian issuers are aggregates of purchases made on US and CDN exchanges. Page 47 of 49 MFS 13F REPORT [MFS LOGO] AS OF DATE: 3/31/13 WESTERN UN CO COM 959802109 46,648,530 3,101,631 SH DEFINED 1 1,882,877 0 1,218,754 WESTERN UN CO COM 959802109 3,694,726 245,660 SH DEFINED 4 0 0 245,660 WESTERN UN CO COM 959802109 2,697,364 179,346 SH DEFINED 5 179,346 0 0 WESTERN UN CO COM 959802109 5,136,070 341,494 SH DEFINED 6 341,494 0 0 WESTERN UN CO COM 959802109 1,010,252 67,171 SH DEFINED 7 67,171 0 0 WESTPAC BKG CORP SPONSORED ADR 961214301 6,420,818 39,866 SH SOLE 39,866 0 0 WESTPAC BKG CORP SPONSORED ADR 961214301 4,188 26 SH DEFINED 7 26 0 0 WEYERHAEUSER CO COM 962166104 25,014,881 797,160 SH SOLE 797,160 0 0 WHIRLPOOL CORP COM 963320106 4,430,404 37,400 SH SOLE 37,400 0 0 WHOLE FOODS MKT INC COM 966837106 807,990 9,314 SH DEFINED 1 6,684 0 2,630 WILLBROS GROUP INC DEL COM 969203108 1,057,123 107,650 SH SOLE 107,650 0 0 WILLIAMS COS INC DEL COM 969457100 234,516,607 6,260,454 SH SOLE 5,717,181 0 543,273 WILLIAMS PARTNERS L P COM UNIT L P 96950F104 114,019,570 2,201,150 SH SOLE 2,041,600 0 159,550 WILLIAMS PARTNERS L P COM UNIT L P 96950F104 10,308 199 SH DEFINED 1 199 0 0 WILLIS GROUP HOLDINGS PUBLIC SHS G96666105 1,469,028 37,200 SH SOLE 37,200 0 0 WINDSTREAM CORP COM 97381W104 107,239,285 13,523,239 SH SOLE 12,577,019 0 946,220 WISCONSIN ENERGY CORP COM 976657106 54,973,057 1,281,722 SH SOLE 1,182,872 0 98,850 WISCONSIN ENERGY CORP COM 976657106 2,907,728 67,795 SH DEFINED 1 1,815 0 65,980 WISCONSIN ENERGY CORP COM 976657106 38,954,456 908,241 SH DEFINED 4 146,606 0 761,635 WISCONSIN ENERGY CORP COM 976657106 11,581,587 270,030 SH DEFINED 7 267,320 0 2,710 WISDOMTREE TRUST INDIA ERNGS FD 97717W422 179,650 10,000 SH DEFINED 1 10,000 0 0 WPP PLC NEW ADR 92937A102 7,520,063 93,860 SH DEFINED 7 93,860 0 0 WPX ENERGY INC COM 98212B103 2,073,453 129,429 SH SOLE 129,429 0 0 WPX ENERGY INC COM 98212B103 74,157 4,629 SH DEFINED 1 4,629 0 0 WYNN RESORTS LTD COM 983134107 131,201,223 1,048,268 SH SOLE 1,048,268 0 0 WYNN RESORTS LTD COM 983134107 3,492,465 27,904 SH DEFINED 1 27,904 0 0 WYNN RESORTS LTD COM 983134107 61,328 490 SH DEFINED 4 490 0 0 WYNN RESORTS LTD COM 983134107 316,655 2,530 SH DEFINED 7 2,530 0 0 XCEL ENERGY INC COM 98389B100 25,893,054 871,820 SH SOLE 803,010 0 68,810 XCEL ENERGY INC COM 98389B100 17,216,852 579,692 SH DEFINED 4 0 0 579,692 XEROX CORP COM 984121103 13,419,010 1,560,350 SH SOLE 1,560,350 0 0 XOOM CORP COM 98419Q101 15,713,646 687,988 SH SOLE 687,988 0 0 XOOM CORP COM 98419Q101 1,149,080 50,310 SH DEFINED 1 5,500 0 44,810 YAHOO INC COM 984332106 8,652,413 367,734 SH SOLE 367,734 0 0 YAHOO INC COM 984332106 356,229 15,140 SH DEFINED 4 15,140 0 0 YAMANA GOLD INC COM 98462Y100 26,556 1,730 SH DEFINED 1 1,730 0 0 YAMANA GOLD INC COM 98462Y100 45,193,516 2,944,203 SH DEFINED 7 2,744,823 0 199,380 YUM BRANDS INC COM 988498101 121,811,254 1,693,234 SH SOLE 1,693,234 0 0 YUM BRANDS INC COM 988498101 17,088,628 237,540 SH DEFINED 1 157,020 0 80,520 YUM BRANDS INC COM 988498101 2,987,237 41,524 SH DEFINED 7 41,524 0 0 ZIONS BANCORPORATION COM 989701107 29,528,434 1,181,610 SH SOLE 1,083,580 0 98,030 ZOETIS INC CL A 98978V103 125,521,542 3,758,130 SH SOLE 3,718,120 0 40,010 ZOETIS INC CL A 98978V103 8,363,694 250,410 SH DEFINED 1 173,460 0 76,950 ZOETIS INC CL A 98978V103 164,996 4,940 SH DEFINED 4 4,940 0 0 ZOETIS INC CL A 98978V103 78,490 2,350 SH DEFINED 5 2,350 0 0
*Please note a de minimis portion of these shares may have non voting authority **13F Filing Report NOTE: Positions of interlisted Canadian issuers are aggregates of purchases made on US and CDN exchanges. Page 48 of 49 MFS 13F REPORT [MFS LOGO] AS OF DATE: 3/31/13 ZOETIS INC CL A 98978V103 268,870 8,050 SH DEFINED 6 8,050 0 0 ZOETIS INC CL A 98978V103 122,578 3,670 SH DEFINED 7 3,670 0 0 --------------- 140,499,038,857
*Please note a de minimis portion of these shares may have non voting authority **13F Filing Report NOTE: Positions of interlisted Canadian issuers are aggregates of purchases made on US and CDN exchanges. Page 49 of 49