C
MFS Emerging Markets Debt Local Currency Fund Class C EMLCX
NASDAQ
Recommendation
NAV
Total Assets
Dividend Yield
Turnover Ratio
Expense Ratio
Weiss Ratings EMLCX-NASDAQ Click to
Compare
Click to
Compare
Click to
Compare
Rating C
Reward Index Fair
Reward Grade C-
Risk Index Fair
Risk Grade C
Company Info EMLCX-NASDAQ Click to
Compare
Click to
Compare
Click to
Compare
Provider MFS
Manager/Tenure (Years) Ward Brown (13), Neeraj Arora (2)
Website http://www.mfs.com
Fund Information EMLCX-NASDAQ Click to
Compare
Click to
Compare
Click to
Compare
Fund Name MFS Emerging Markets Debt Local Currency Fund Class C
Category Emerging-Markets Local-Currency Bond
Sub-Category Emerging Markets Fixed Income
Prospectus Objective Income
Inception Date Sep 15, 2011
Open/Closed To New Investors Open
Minimum Initial Investment 1,000.00
Minimum Subsequent Investment 50.00
Front End Fee --
Back End Fee 0.01
Dividends and Shares EMLCX-NASDAQ Click to
Compare
Click to
Compare
Click to
Compare
Dividend Yield 3.55%
Dividend EMLCX-NASDAQ Click to
Compare
Click to
Compare
Click to
Compare
Dividend Yield (Forward) --
Asset Allocation EMLCX-NASDAQ Click to
Compare
Click to
Compare
Click to
Compare
Cash 8.98%
Stock 0.00%
U.S. Stock 0.00%
Non-U.S. Stock 0.00%
Bond 91.01%
U.S. Bond -1.53%
Non-U.S. Bond 92.54%
Preferred 0.00%
Convertible 0.00%
Other Net 0.00%
Price History EMLCX-NASDAQ Click to
Compare
Click to
Compare
Click to
Compare
7-Day Total Return -0.50%
30-Day Total Return 0.36%
60-Day Total Return 2.52%
90-Day Total Return 3.31%
Year to Date Total Return 12.68%
1-Year Total Return 7.58%
2-Year Total Return 13.21%
3-Year Total Return 24.56%
5-Year Total Return 8.45%
Price EMLCX-NASDAQ Click to
Compare
Click to
Compare
Click to
Compare
Closing Price --
1-Month Low Price --
1-Month High Price --
52-Week Low Price --
52-Week Low Price (Date) --
52-Week High Price --
52-Week High Price (Date) --
NAV EMLCX-NASDAQ Click to
Compare
Click to
Compare
Click to
Compare
Nav $5.80
1-Month Low NAV $5.69
1-Month High NAV $5.84
52-Week Low NAV $5.18
52-Week Low NAV (Date) Jan 13, 2025
52-Week High NAV $5.84
52-Week High Price (Date) Aug 15, 2025
Beta / Standard Deviation EMLCX-NASDAQ Click to
Compare
Click to
Compare
Click to
Compare
Beta 1.08
Standard Deviation 10.64
Balance Sheet EMLCX-NASDAQ Click to
Compare
Click to
Compare
Click to
Compare
Total Assets 472.90M
Operating Ratios EMLCX-NASDAQ Click to
Compare
Click to
Compare
Click to
Compare
Expense Ratio 1.85%
Turnover Ratio 59.00%
Performance EMLCX-NASDAQ Click to
Compare
Click to
Compare
Click to
Compare
Last Bull Market Total Return 3.52%
Last Bear Market Total Return -9.09%