logo
light
search

MEDAX Chart NMFQS:MEDAX

Emerging Markets Bond | MFS
$12.82
↑ $0.02 (0.16%)
Last Updated: Feb 05, 2026

MEDAX Price Chart



Performance Summary

YTD Return 0.34%
1-Year Return 12.46%
3-Year Return 8.76%
5-Year Return 2.09%
NAV $12.82
Previous Close $12.80

Fund Metrics

Net Assets $7.45 Billion
Expense Ratio 1.07%
Dividend Yield 0.05%
Morning Star Rating -
Inception Date 1998-03-17
Update Date 2025-12-31