Company: CXH
Filing Date: 2025-07-28
Form Type: N-CSRS
Source: 0001683863-25-006221
Chunk: 2

Company: MFS INVESTMENT GRADE MUNICIPAL TRUST
Filing Date: 2025-07-28
Form: N-CSRS
Chunk 2
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 all of these           
 instruments on this date. The fund is not rated by these agencies.                                                                                                                                                        |

| (b) | Cash & Cash Equivalents (Less Liabilities) includes any cash, investments in money market funds, short-term securities, and other assets less liabilities. Liabilities include the                                  
 value of the aggregate liquidation preference of the remarketable variable rate munifund term preferred shares (RVMTP shares) issued by the fund. Cash & Cash Equivalents (Less Liabilities) is negative due to the 
 aggregate liquidation value of RVMTP shares. Please see the Statement of Assets and Liabilities for additional information related to the fund’s cash position and other assets and liabilities. Please see Note 8  
 in the Notes to Financial Statements for more information on the RVMTP shares issued by the fund.                                                                                                                   |

| (i) | For purposes of this presentation, the components include the value of securities, and reflect the impact of the equivalent exposure of derivative positions, if any. These amounts may                                  
 be negative from time to time. Equivalent exposure is a calculated amount that translates the derivative position into a reasonable approximation of the amount of the underlying asset that the portfolio would have to 
 hold at a given point in time to have the same price sensitivity that results from the portfolio’s ownership of the derivative contract. When dealing with derivatives, equivalent exposure is a more                    
 representative measure of the potential impact of a position on portfolio performance than value. The bond component will include any accrued interest amounts.                                                          |

| (o) | Less than 0.1%. |

Other includes equivalent exposure from currency derivatives and/or any offsets to derivative positions and/or the leverage created through the issuance of self-deposited inverse floaters and may be negative. Percentages are based on net assets applicable to common shares as of May 31, 2025. The portfolio is actively managed and current holdings may be different.

2

Portfolio Managers' Profiles

| Portfolio Manager  | Primary Role      | Since | Title and Five Year History                                                              |
| Michael Dawson     | Portfolio Manager |  2007 | Investment Officer of MFS; employed in the investment management area of MFS since 1998. |
| Jason Kosty        | Portfolio Manager |  2022 | Investment Officer of MFS; employed in the investment management area of MFS since 2014. |
| Geoffrey Schechter | Portfolio Manager |  2007 | Investment Officer of MFS; employed in the investment management