Fund Overview Fund Overview Share Class Z N I Z NAV | as of 09/21/2023 $9.41 -$0.18 (-1.88%) Morningstar | Style Box V B G L M S Overall Morningstar Rating Rated against 718 Diversified Emerging Mkts funds as of 08/31/2023 View Morningstar Details Growth of $10,000 (Hypothetical) Since Inception 12/14/2016 to 08/31/2023 = $16,602.37 From: To: 3YR 5YR 10YR INCEP. INCEP. 3YR 5YR 10YR INCEP. The performance data shown represents past performance. Past performance is not a guarantee of future results. Current performance may be lower or higher than the performance data quoted. The investment return and the principal value of an investment will fluctuate so that an investor’s shares, when redeemed, may be worth more or less than their original cost. For performance information through the most recent month end please call 800.548.4539 or visit our website at amgfunds.com. From time to time, the advisor has waived fees or reimbursed expenses, which may have resulted in higher returns. The listed returns and yields of the Fund are net of expenses, and the returns and yields of the indices exclude expenses. For time periods where the fund inception date preceded the benchmark, the benchmark data will not be shown. View Performance Read Important Investment Disclosures Objective Seeks to provide long-term capital appreciation by investing primarily in small cap companies in emerging markets. Why Consider May be appropriate for investors looking to gain exposure to non-U.S. small cap companies in emerging markets TimesSquare leverages its wealth of experience investing in emerging market small cap companies, relying on bottom-up research to identify growth businesses with exceptional management, distinct, sustainable competitive advantages and consistent growth Documents Fact Sheet Summary Prospectus Prospectus SAI 2019 Form 8937 2022 Year End Distributions View All Documents David L. Oh SENIOR VICE PRESIDENT AND PORTFOLIO MANAGER/ANALYST See Our Approach Read Bio Magnus S. Larsson DIRECTOR AND PORTFOLIO MANAGER See Our Approach Read Bio Investment Style TimesSquare Emerging Markets Small Cap Fund has an Equity Income Objective, seeking to achieve income and capital appreciation. Large Mid Small Value Blend Growth Equity Objective TimesSquare Emerging Markets Small Cap Fund is categorized as Mid-Growth. It invests in medium-cap companies with high risk. Morningstar Ratings Risk-adjusted returns as of 08/31/2023 Overall Rating (of 718) 3 Years (of 718) 5 Years (of 644) 10 Years — Category Diversified Emerging Mkts Read Important Investment Disclosures David L. Oh SENIOR VICE PRESIDENT AND PORTFOLIO MANAGER/ANALYST David is a Senior Vice President and Portfolio Manager/Analyst on TimesSquare’s International Small Cap team which covers Developed, Emerging, and Frontier markets. Prior to joining TimesSquare in 2019, David was a Principal at Sustainable Growth Advisers where he analyzed companies across a range of sectors within a global framework. Prior to Sustainable Growth Advisers, he held various senior research and investment positions at Alinda Capital Partners, Third Point, Sempra Energy Partners, and Credit Suisse First Boston. He graduated cum laude with a BA in both history and East Asian studies from Yale University, and has an MBA from Harvard Business School. He is fluent in Mandarin and conversant in Spanish. Magnus S. Larsson DIRECTOR AND PORTFOLIO MANAGER Magnus Larsson is a Director and Portfolio Manager on TimesSquare’s International Small Cap team. Prior to joining TimesSquare in 2012, Mr. Larsson was a Portfolio Manager at Nordea Investment Management where he focused on European small and mid cap equities. Prior to Nordea, he held a similar role at SEB Asset Management as a Portfolio Manager focusing on European small and mid caps. Mr. Larsson's prior experience also includes a Financial Analyst role specializing in small and mid cap equity research with Borsinsikt and a position as an Institutional Equity Sales Director at Beeson Gregory. He holds a BS in economics and business administration from the University of Orebro, Sweden, as well as a BA in social science. Performance Performance Read Important Investment Disclosures Returns Trailing Returns Trailing Returns Monthly Quarterly Calendar Year Returns The performance data shown represents past performance. Past performance is not a guarantee of future results. Current performance may be lower or higher than the performance data quoted. The investment return and the principal value of an investment will fluctuate so that an investor’s shares, when redeemed, may be worth more or less than their original cost. For performance information through the most recent month end please call 800.548.4539 or visit our website at amgfunds.com. From time to time, the advisor has waived fees or reimbursed expenses, which may have resulted in higher returns. The listed returns and yields of the Fund are net of expenses, and the returns and yields of the indices exclude expenses. For time periods where the fund inception date preceded the benchmark, the benchmark data will not be shown. Expense Ratios Gross Expense Ratio: 3.83% Net Expense Ratio: 1.28% Expense Cap Expiration Date: 05/01/2024 Distributions & Pricing Distributions Distributions Chart List Historical Pricing Calendar Year Distributions Ex-Date Total Distribution Income Short-term Cap Gains Long-term Cap Gains Dec 15, 2022 $0.184900 — — $0.184900 Dec 15, 2021 $4.398000 $0.137000 $2.527700 $1.733300 Dec 16, 2020 $0.044800 $0.044800 — — Dec 16, 2019 $0.059000 $0.059000 — — Dec 27, 2018 $0.621100 $0.056700 $0.258100 $0.306300 Dec 27, 2017 $0.990200 $0.161200 $0.827600 $0.001400 From: To: Risk & Return Stats As of: 08/31/2023 3YR 5YR 10YR Alpha Alpha is a measure of performance on a risk-adjusted basis. Alpha takes the volatility (price risk) of a security or mutual fund and compares its risk-adjusted performance to a benchmark index. The excess return of the security or fund relative to the return of the benchmark index is a fund's alpha. -2.94 1.37 - Standard Deviation Standard Deviation is a measure of the dispersion of a set of data from its mean. The more spread apart the data, the higher the deviation. Standard deviation is calculated as the square root of variance. 16.93 19.12 - Sharpe Ratio Sharpe Ratio is a risk-adjusted measure developed by William Sharpe. It is calculated using standard deviation and excess return to determine reward per unit of risk. First, the average monthly return of the 90-day Treasury bill (over a 36-month period) is subtracted from the portfolio's average monthly return. The difference in total return represents the portfolio's excess return beyond that of the 90-day Treasury bill, a risk-free investment. An arithmetic annualized excess return is then calculated by multiplying this monthly return by 12. To show a relationship between excess return and risk, this number is then divided by the standard deviation of the portfolio's annualized excess returns. The higher the Sharpe ratio, the better the portfolio's historical risk-adjusted performance. 0.32 0.28 - Upside Capture Ratio (%) Upside Capture Ratio (%) is a measure of a manager's performance in up markets relative to a particular benchmark. An up market is one in which the market's quarterly (or monthly) return is greater than or equal to zero. For example, a ratio of 50% means that the portfolio's value increased half as much as its benchmark index during up markets. 92.47 93.35 - Downside Capture Ratio (%) Downside Capture Ratio (%) measures a manager's performance in down markets relative to a particular benchmark. A down market is one in which the market's quarterly (or monthly) return is less than zero. For example, a ratio of 50% means that the portfolio's value fell half as much as its benchmark index during down markets. 109.40 95.53 - Beta Beta measures the relationship between the portfolio's excess return over T-bills (representing a risk-free rate) relative to the excess return of the portfolio's benchmark. A low beta does not imply that the portfolio has a low level of volatility; rather, a low beta means that the portfolio's market-related risk is low. Beta is often referred to as systematic risk. 0.96 0.89 - R-Squared R-Squared ranges from 0 to 100 and reflects the percentage of a portfolio's movements that are explained by movements in its benchmark index. A portfolio with an R-squared of 100 means that all movement is completely explained by benchmark index movement. Thus, a portfolio that invests only in S&P 500 stocks will have an R-squared very close to 100. Conversely, a low R-squared indicates that very little of the portfolio's movement is explained by benchmark movement. An R-squared measure of 35, for example, means that movements in its benchmark index can explain only 35% of the portfolio's movements. R-squared is used to ascertain the significance of a particular beta or alpha and generally a higher R-squared will indicate more useful alpha and beta figures. 89.06 92.51 - Tracking Error (%) Tracking Error (%) , which is often referred to as the active risk of the portfolio, measures how closely a manager's returns track the returns of a benchmark index. Specifically, tracking error measures the standard deviation of the excess returns a portfolio generates compared to its benchmark. This gives an indication of the volatility of a portfolio versus its benchmark. If a manager tracks a benchmark closely, then tracking error will be low. If a manager tracks a benchmark perfectly, then tracking error will be zero. 5.64 5.69 - View All Characteristics & Stats All Characteristics & Stats TimesSquare Emerging Markets Small Cap Fund (TQEZX) Portfolio Characteristics (Equity) Risk & Return Market Cap Valuation Characteristics Growth Characteristics Fund Holdings Fund MSCI Emerging Markets Small Cap Index Fund Assets (Mil.$) $2 Number of Holdings 91 1,913 Weighted Avg. Market Cap (Mil.$) $1,820 $1,883 Median Market Cap (Mil.$) $1,361 $912 Weighted Avg. P/E (1-yr Forward EPS) 19.41 13.29 Weighted Avg. P/E (Trailing EPS) 21.60 13.19 PEG Ratio 0.88 0.97 Weighted Avg. P/B 2.84 1.48 EPS Growth (Trailing 3-yr %) 17.98% 15.61% EPS Growth (Trailing 5-yr %) 15.68% 12.11% Forward EPS Growth (1-yr %) 16.51% 7.11% Forward EPS Growth (Long Term %) 30.41% 17.89% Revenue Growth (Trailing 5-yr %) 13.37% 7.97% Return on Equity 14.94% 13.66% Weighted Avg. Dividend Yield 1.76% 2.86% Debt to Equity 47.48 64.95 Trailing 12-Months Portfolio Turnover 101.19% As of: 06/30/2023 Risk & Return 3 Years 5 Years 10 Years Alpha Alpha is a measure of performance on a risk-adjusted basis. Alpha takes the volatility (price risk) of a security or mutual fund and compares its risk-adjusted performance to a benchmark index. The excess return of the security or fund relative to the return of the benchmark index is a fund's alpha. -2.94 1.37 - Standard Deviation Standard Deviation is a measure of the dispersion of a set of data from its mean. The more spread apart the data, the higher the deviation. Standard deviation is calculated as the square root of variance. 16.93 19.12 - Sharpe Ratio Sharpe Ratio is a risk-adjusted measure developed by William Sharpe. It is calculated using standard deviation and excess return to determine reward per unit of risk. First, the average monthly return of the 90-day Treasury bill (over a 36-month period) is subtracted from the portfolio's average monthly return. The difference in total return represents the portfolio's excess return beyond that of the 90-day Treasury bill, a risk-free investment. An arithmetic annualized excess return is then calculated by multiplying this monthly return by 12. To show a relationship between excess return and risk, this number is then divided by the standard deviation of the portfolio's annualized excess returns. The higher the Sharpe ratio, the better the portfolio's historical risk-adjusted performance. 0.32 0.28 - Upside Capture Ratio (%) Upside Capture Ratio (%) is a measure of a manager's performance in up markets relative to a particular benchmark. An up market is one in which the market's quarterly (or monthly) return is greater than or equal to zero. For example, a ratio of 50% means that the portfolio's value increased half as much as its benchmark index during up markets. 92.47 93.35 - Downside Capture Ratio (%) Downside Capture Ratio (%) measures a manager's performance in down markets relative to a particular benchmark. A down market is one in which the market's quarterly (or monthly) return is less than zero. For example, a ratio of 50% means that the portfolio's value fell half as much as its benchmark index during down markets. 109.40 95.53 - Beta Beta measures the relationship between the portfolio's excess return over T-bills (representing a risk-free rate) relative to the excess return of the portfolio's benchmark. A low beta does not imply that the portfolio has a low level of volatility; rather, a low beta means that the portfolio's market-related risk is low. Beta is often referred to as systematic risk. 0.96 0.89 - R-Squared R-Squared ranges from 0 to 100 and reflects the percentage of a portfolio's movements that are explained by movements in its benchmark index. A portfolio with an R-squared of 100 means that all movement is completely explained by benchmark index movement. Thus, a portfolio that invests only in S&P 500 stocks will have an R-squared very close to 100. Conversely, a low R-squared indicates that very little of the portfolio's movement is explained by benchmark movement. An R-squared measure of 35, for example, means that movements in its benchmark index can explain only 35% of the portfolio's movements. R-squared is used to ascertain the significance of a particular beta or alpha and generally a higher R-squared will indicate more useful alpha and beta figures. 89.06 92.51 - Tracking Error (%) Tracking Error (%) , which is often referred to as the active risk of the portfolio, measures how closely a manager's returns track the returns of a benchmark index. Specifically, tracking error measures the standard deviation of the excess returns a portfolio generates compared to its benchmark. This gives an indication of the volatility of a portfolio versus its benchmark. If a manager tracks a benchmark closely, then tracking error will be low. If a manager tracks a benchmark perfectly, then tracking error will be zero. 5.64 5.69 - Information Ratio Information Ratio s a ratio of portfolio returns above the returns of a benchmark (usually an index) to the volatility of those returns. The information ratio (IR) measures a portfolio manager's ability to generate excess returns relative to a benchmark, but also attempts to identify the consistency of the investor. This ratio will identify if a manager has beaten the benchmark by a lot in a few months or a little every month. The higher the IR, the more consistent a manager is, and consistency is an ideal trait. -0.67 0.15 - Treynor Ratio (%) Treynor Ratio (%) , which was developed by Jack Treynor, measures reward per unit of beta risk. It measures returns earned in excess of that which could have been earned on a less risk investment per each unit of market risk. The Treynor Ratio relates the difference between the portfolio return and the risk-free rate to the portfolio beta for a given time period. 5.58 6.01 - Max Drawdown Max Drawdown is the maximum loss from a peak to a trough of a portfolio, before a new peak is attained. Maximum Drawdown is an indicator of downside risk over a specified time period. -32.75 -32.75 - As of: 08/31/2023 Market Cap Fund MSCI Emerging Markets Small Cap Index Market Cap ($mm) 0 - 1,000 43.94% 32.25% Market Cap ($mm) 1,000 - 1,500 16.91% 20.95% Market Cap ($mm) 1,500 - 2,500 13.89% 24.82% Market Cap ($mm) 2,500 - 5,000 17.77% 19.00% Market Cap ($mm) 5,000 - 10,000 6.75% 1.89% Market Cap ($mm) 10,000 - 25,000 0.00% 1.05% Market Cap ($mm) 25,000 - 50,000 0.00% 0.00% Market Cap ($mm) 50,000 - 100,000 0.00% 0.00% Market Cap ($mm) 100,000 - 200,000 0.00% 0.00% Market Cap ($mm) 200,000 - 0.00% 0.00% Market Cap – NA 0.75% 0.05% As of: 06/30/2023 Valuation Characteristics Fund MSCI Emerging Markets Small Cap Index P/E 0-10 3.62% 21.37% P/E 10-15 14.87% 15.00% P/E 15-20 11.73% 11.13% P/E 20-25 13.74% 9.49% P/E 25-Above 44.98% 32.27% P/E – NA 11.06% 10.74% As of: 06/30/2023 Growth Characteristics Fund MSCI Emerging Markets Small Cap Index EPS Growth (Trailing 3-yr %) - Negative 18.81% 22.86% EPS Growth (Trailing 3-yr %) 0 - 5 8.73% 5.33% EPS Growth (Trailing 3-yr %) 5 - 10 5.74% 6.41% EPS Growth (Trailing 3-yr %) 10 - 15 7.27% 6.41% EPS Growth (Trailing 3-yr %) 15 - 20 8.70% 6.76% EPS Growth (Trailing 3-yr %) Above 20 37.24% 39.33% EPS Growth (Trailing 3-yr %) - NA 13.50% 12.90% As of: 06/30/2023 Read Important Investment Disclosures Portfolio & Holdings Portfolio & Holdings Top Holdings (Equity) As of: 06/30/2023 KINX Inc 2.02% Green World Fintech Service Co Ltd 1.95% Jeisys Medical Inc 1.92% PharmaResearch Co Ltd 1.91% Andes Technology Corp 1.87% AKR Corporindo Tbk PT 1.83% Metrodata Electronics Tbk PT 1.73% eCloudvalley Digital Technology Co Ltd 1.67% Kalyan Jewellers India Ltd 1.62% Cyient Ltd 1.60% % in Top 10 Holdings 18.12% View Holding Details Holding Details TimesSquare Emerging Markets Small Cap Fund (TQEZX) Top 10 Holdings (Equity) All Holdings 10 Best Performing Stocks 10 Worst Performing Stocks Fund Holdings 06/30/2023 KINX Inc 2.02% Green World Fintech Service Co Ltd 1.95% Jeisys Medical Inc 1.92% PharmaResearch Co Ltd 1.91% Andes Technology Corp 1.87% AKR Corporindo Tbk PT 1.83% Metrodata Electronics Tbk PT 1.73% eCloudvalley Digital Technology Co Ltd 1.67% Kalyan Jewellers India Ltd 1.62% Cyient Ltd 1.60% % in Top 10 Holdings 18.12% As of: 06/30/2023 Download All Holdings (PDF) As of: 08/31/2023 Ticker Name Sector Asset Class Country Currency Par/Shares Price ($) Market Value ($) % of Fund 093320 KINX Inc Communication Services S KR KRW 800 53.21 $42,571 2.38% KALYANKJ Kalyan Jewellers India Ltd Consumer Discretionary S IN INR 11,863 3.04 $36,051 2.02% 6763 Green World Fintech Service Co Ltd Financials S TW TWD 2,387 12.85 $30,671 1.72% AKRA AKR Corporindo Tbk PT Energy S ID IDR 333,000 0.09 $30,595 1.71% 189300 Intellian Technologies Inc Information Technology S KR KRW 453 65.13 $29,504 1.65% MTDL Metrodata Electronics Tbk PT Information Technology S ID IDR 848,800 0.03 $29,259 1.64% 6533 Andes Technology Corp Information Technology S TW TWD 2,200 13.12 $28,867 1.61% 099430 Bio Plus Co Ltd Health Care S KR KRW 4,500 6.17 $27,778 1.55% CYL Cyient Ltd Information Technology S IN INR 1,400 19.76 $27,669 1.55% 011790 SKC Co Ltd Materials S KR KRW 400 69.10 $27,642 1.55% ALAMAR Alamar Foods Consumer Discretionary S SA SAR 800 33.22 $26,577 1.49% RW Raymond Ltd Consumer Discretionary S IN INR 1,100 24.13 $26,547 1.49% MAHARAH Maharah Human Resources Co Industrials S SA SAR 1,560 16.87 $26,322 1.47% ROUTE Route Mobile Ltd Information Technology S IN INR 1,382 18.95 $26,195 1.47% POLICYBZ PB Fintech Ltd Financials S IN INR 2,800 9.35 $26,172 1.46% 282880 Cowintech Co Ltd Industrials S KR KRW 936 27.46 $25,698 1.44% AGII Samator Indo Gas Tbk PT Materials S ID IDR 208,200 0.12 $25,632 1.43% 6689 eCloudvalley Digital Technology Co Ltd Information Technology S TW TWD 6,851 3.74 $25,614 1.43% 287410 Jeisys Medical Inc Health Care S KR KRW 2,400 10.60 $25,444 1.42% 354 Chinasoft International Ltd Information Technology S CN HKD 37,800 0.66 $25,054 1.40% TRAXIONA Grupo Traxion SAB de CV 144A, Class A Industrials S MX MXN 13,800 1.81 $25,017 1.40% RAILTEL Railtel Corp of India Ltd Communication Services S IN INR 9,800 2.53 $24,764 1.39% BELA JUMBO SA Consumer Discretionary S GR EUR 800 30.93 $24,741 1.38% EPLL EPL Ltd Materials S IN INR 10,000 2.37 $23,713 1.33% VARROC Varroc Engineering Ltd 144A Consumer Discretionary S IN INR 4,600 5.10 $23,478 1.31% PRUDENT Prudent Corporate Advisory Services Ltd Financials S IN INR 1,800 13.00 $23,398 1.31% LWSA3 Locaweb Servicos de Internet SA 144A Information Technology S BR BRL 16,300 1.43 $23,370 1.31% 6472 Bora Pharmaceuticals Co Ltd Health Care S TW TWD 1,039 22.45 $23,326 1.30% 2217 Tam Jai International Co Ltd Consumer Discretionary S HK HKD 115,400 0.20 $23,229 1.30% 6643 M31 Technology Corp Information Technology S TW TWD 800 29.02 $23,219 1.30% 3661 Alchip Technologies Ltd Information Technology S TW TWD 300 76.93 $23,078 1.29% ALARABIA Arabian Contracting Services Co Communication Services S SA SAR 400 55.86 $22,343 1.25% 340570 T&L Co Ltd Health Care S KR KRW 600 36.62 $21,969 1.23% OPAP Opap SA Consumer Discretionary S GR EUR 1,300 16.89 $21,951 1.23% MRDIY MR DIY Group M Bhd 144A Consumer Discretionary S MY MYR 64,400 0.33 $21,513 1.20% DESP Despegar.com Corp Consumer Discretionary S AR USD 2,700 7.95 $21,465 1.20% GMM GMM Pfaudler Ltd Industrials S IN INR 1,100 19.04 $20,945 1.17% 9923 Yeahka Ltd Financials S CN HKD 10,500 1.99 $20,863 1.17% ARCO Arcos Dorados Holdings Inc, Class A Consumer Discretionary S UY USD 2,100 9.87 $20,727 1.16% MINT/F Minor International PCL Consumer Discretionary S TH THB 21,800 0.95 $20,684 1.16% 1795 Lotus Pharmaceutical Co Ltd Health Care S TW TWD 2,600 7.93 $20,609 1.15% PAYTM One 97 Communications Ltd Financials S IN INR 2,000 10.30 $20,606 1.15% CCOLA Coca-Cola Icecek AS Consumer Staples S TR TRY 1,400 14.72 $20,601 1.15% BSE BSE Ltd Financials S IN INR 1,600 12.83 $20,522 1.15% 6639 Arrail Group Ltd 144A Health Care S CN HKD 19,700 1.03 $20,247 1.13% MEGACPO Megacable Holdings SAB de CV Communication Services S MX MXN 8,100 2.42 $19,606 1.10% CDSL Central Depository Services India Ltd Financials S IN INR 1,400 13.74 $19,236 1.08% 1951 Jinxin Fertility Group Ltd 144A Health Care S CN HKD 38,100 0.50 $19,054 1.07% BAM/F Bangkok Commercial Asset Management PCL [BAM] Financials S TH THB 55,700 0.34 $18,911 1.06% INPST InPost SA Industrials S PL EUR 1,600 11.75 $18,802 1.05% HYPE3 Hypera SA Health Care S BR BRL 2,400 7.83 $18,795 1.05% TAWUNIYA Co For Cooperative Insurance Financials S SA SAR 600 30.93 $18,557 1.04% 248070 SOLUM Co Ltd Information Technology S KR KRW 800 23.01 $18,406 1.03% ONEE/F One Enterprise Public Co Ltd Communication Services S TH THB 130,300 0.14 $18,366 1.03% FNH Fraser & Neave Holdings Bhd Consumer Staples S MY MYR 3,300 5.50 $18,147 1.02% APTY Apollo Tyres Ltd Consumer Discretionary S IN INR 3,800 4.69 $17,816 1.00% VVEO3 CM Hospitalar SA Health Care S BR BRL 4,700 3.77 $17,729 0.99% AGLL Allcargo Logistics Ltd Industrials S IN INR 5,200 3.31 $17,236 0.96% 012450 Hanwha Aerospace Co Ltd Industrials S KR KRW 200 86.15 $17,230 0.96% TOTS3 Totvs SA Information Technology S BR BRL 3,059 5.57 $17,037 0.95% VESTA* Corp Inmobiliaria Vesta SAB de CV Real Estate S MX MXN 4,600 3.70 $17,007 0.95% MULT3 Multiplan Empreendimentos Imobiliarios SA Real Estate S BR BRL 3,400 4.95 $16,828 0.94% 6515 WinWay Technology Co Ltd Information Technology S TW TWD 900 18.69 $16,821 0.94% RBA Restaurant Brands Asia Ltd Consumer Discretionary S IN INR 10,923 1.53 $16,735 0.94% PRJ Praj Industries Ltd Industrials S IN INR 2,700 5.95 $16,055 0.90% CNVRG Converge ICT Solutions Inc Communication Services S PH PHP 115,800 0.14 $15,880 0.89% KFINTECH Kfin Technologies Ltd Financials S IN INR 2,900 5.41 $15,685 0.88% 002439 Venustech Group Inc Information Technology S CN CNY 3,900 4.00 $15,601 0.87% 1368 Xtep International Holdings Ltd Consumer Discretionary S CN HKD 15,000 0.99 $14,838 0.83% TRACXN Tracxn Technologies Ltd Financials S IN INR 15,781 0.93 $14,610 0.82% 601965 China Automotive Engineering Research Institute Co Ltd Consumer Discretionary S CN CNY 4,900 2.88 $14,134 0.79% 240810 WONIK IPS Co Ltd Information Technology S KR KRW 600 23.29 $13,975 0.78% CENCOSHO Cencosud Shopping SA Real Estate S CL CLP 8,200 1.68 $13,754 0.77% 2383 Elite Material Co Ltd Information Technology S TW TWD 1,000 13.66 $13,660 0.76% 1501 Shanghai Kindly Medical Instruments Co Ltd Health Care S CN HKD 3,800 3.56 $13,547 0.76% JPMCW18S Pnote: Masan Group Corp Consumer Staples S NL USD 3,940 3.38 $13,319 0.75% 5263 Brogent Technologies Inc Information Technology S TW TWD 3,700 3.58 $13,231 0.74% RAINBOW Rainbow Children's Medicare Ltd Health Care S IN INR 1,000 12.82 $12,818 0.72% 079550 LIG Nex1 Co Ltd Industrials S KR KRW 200 64.04 $12,809 0.72% 039030 EO Technics Co Ltd Information Technology S KR KRW 100 127.88 $12,788 0.72% DADA Dada Nexus Ltd ADR Consumer Staples S CN USD 2,300 5.40 $12,420 0.69% FRCB Frontken Corp Bhd Industrials S MY MYR 15,800 0.75 $11,927 0.67% 056190 SFA Engineering Corp Industrials S KR KRW 400 25.13 $10,051 0.56% 417010 NANOTIM Corp Materials S KR KRW 600 16.69 $10,015 0.56% LVC LiveChat Software SA Information Technology S PL PLN 300 32.40 $9,721 0.54% 3218 Universal Vision Biotechnology Co Ltd Health Care S TW TWD 556 10.52 $5,851 0.33% TREL TransIndia Real Estate Ltd Industrials S IN INR 13,900 0.42 $5,818 0.33% PAX Patria Investments Ltd, Class A Financials S KY USD 400 14.42 $5,768 0.32% ATL Allcargo Terminals Ltd Industrials S IN INR 13,900 0.41 $5,675 0.32% 2345 Accton Technology Corp Information Technology S TW TWD 300 14.91 $4,474 0.25% 6990 Sichuan Kelun-Biotech Biopharmaceutical Co Ltd Health Care S CN HKD 400 9.75 $3,902 0.22% CCRI Container Corp Of India Ltd Industrials S IN INR 200 8.12 $1,623 0.09% 8454 momo.com Inc Consumer Discretionary S TW TWD 35 16.31 $574 0.03% Cash & Equivalents Cash C US USD - - $4,519 0.25% Download Fund Commentary (PDF) Fund Holdings Sort order Avg. Weight Total Return PharmaResearch Co Ltd 1 1.79% 102.25% Locaweb Servicos de Internet SA 144A 2 1.53% 89.82% Alchip Technologies Ltd 3 1.71% 41.52% Cyient Ltd 4 1.69% 52.33% Arabian Contracting Services Co 5 1.64% 46.33% EPL Ltd 6 1.54% 32.57% Raymond Ltd 7 1.28% 39.06% BSE Ltd 8 1.23% 41.46% Kalyan Jewellers India Ltd 9 1.22% 39.71% Co For Cooperative Insurance 10 1.33% 34.19% As of: 06/30/2023 The 10 Best and Worst Performing Stocks are determined based on the stock's contribution to the Fund’s return during the specified quarter. Download Fund Commentary (PDF) Fund Holdings Sort order Avg. Weight Total Return Arrail Group Ltd 144A 20 1.10% -48.19% Tam Jai International Co Ltd 19 1.68% -22.62% Intellian Technologies Inc 18 1.33% -20.26% Yeahka Ltd 17 1.31% -24.93% Metrodata Electronics Tbk PT 16 2.01% -7.51% Jinxin Fertility Group Ltd 144A 15 1.14% -21.16% Bangkok Commercial Asset Management PCL [BAM] 14 1.14% -20.68% SKC Co Ltd 13 1.20% -15.63% Dada Nexus Ltd ADR 12 0.54% -37.31% Converge ICT Solutions Inc 11 0.89% -15.98% As of: 06/30/2023 The 10 Best and Worst Performing Stocks are determined based on the stock's contribution to the Fund’s return during the specified quarter. Read Important Investment Disclosures Read Important Investment Disclosures Regional Allocation As of: 06/30/2023 View Allocation Details Allocation Details TimesSquare Emerging Markets Small Cap Fund (TQEZX) Sector Allocation (Equity) Investment Allocation Country Allocation Regional Allocation Top 10 Industries Sector Sort Order Fund MSCI Emerging Markets Small Cap Index Information Technology 23.13% 17.05% Consumer Discretionary 18.11% 11.13% Financials 13.46% 10.94% Health Care 12.84% 8.89% Industrials 10.95% 16.83% Communication Services 9.42% 4.01% Materials 4.92% 13.94% Real Estate 3.18% 6.14% Consumer Staples 3.03% 6.12% Energy 1.83% 1.77% Utilities 0.00% 3.19% Cash & Other -0.87% 0.00% As of: 06/30/2023 Investment Allocation 06/30/2023 Stocks 100.87% Bonds 0.00% Cash and Other -0.87% As of: 06/30/2023 Country Fund MSCI Emerging Markets Small Cap Index India 24.06% 24.28% South Korea 16.06% 14.98% Taiwan 14.77% 21.79% China 8.89% 8.06% Brazil 5.09% 5.80% Saudi Arabia 4.99% 3.79% Indonesia 4.94% 2.19% Thailand 3.33% 3.22% Greece 2.85% 0.64% Malaysia 2.82% 2.36% Mexico 2.81% 2.36% Poland 1.69% 1.12% Hong Kong 1.43% 0.00% Argentina 1.19% 0.00% Philippines 1.09% 0.98% % in Top 15 Countries 96.01% 91.57% As of: 06/30/2023 Region Fund MSCI Emerging Markets Small Cap Index Developed 2.16% 0.00% Europe & Middle East 0.73% 0.00% North America 0.00% 0.00% Pacific 1.43% 0.00% Emerging 95.70% 100.00% Asia 75.96% 77.86% Latin America 8.76% 9.16% Europe & Middle East 10.98% 9.95% Africa 0.00% 3.03% Frontier 0.00% 0.00% Africa 0.00% 0.00% Asia 0.00% 0.00% Europe 0.00% 0.00% Latin America 0.00% 0.00% Middle East 0.00% 0.00% Cash & Other 2.13% 0.00% As of: 06/30/2023 Industry Fund MSCI Emerging Markets Small Cap Index Hotels, Restaurants & Leisure 8.29% 1.80% Software 6.96% 1.28% Capital Markets 6.23% 2.42% Diversified Telecommunication Services 6.10% 0.87% IT Services 5.35% 1.34% Semiconductors & Semiconductor Equipment 5.32% 7.35% Financial Services 4.54% 1.80% Health Care Equipment & Supplies 4.09% 0.99% Machinery 3.97% 3.69% Electronic Equipment, Instruments & Components 3.71% 4.71% % in Top 10 Industries 54.56% 26.25% As of: 06/30/2023 Read Important Investment Disclosures Investment Approach Investment Approach TimesSquare Emerging Markets Small Cap Fund The Fund seeks to outperform the MSCI Emerging Markets Small Cap Index over a full market cycle. The TimesSquare Emerging Markets Small Cap team uses a bottom up, fundamental research-intensive approach to seek to identify emerging markets small cap stocks with the greatest potential to achieve price appreciation. The Fund invests in companies with market capitalizations less than $5 billion at time of purchase. Keep Calm and Remain Diversified A short- and long-term review on the power of diversification. Read More About About TimesSquare Capital Management Background TimesSquare is a growth equity specialist. They are a trusted partner to institutional investors globally, providing mutual fund and separate account management. Reliance on in-depth, research-driven strategies has historically produced strong results across products and market cycles. Learn More More Products From TimesSquare Capital Management TSYNX TimesSquare Global Small Cap Fund Seeks to provide long-term capital appreciation by primarily investing in small cap companies around the globe. View Fund Details TCMPX TimesSquare International Small Cap Fund The Fund seeks to outperform the MSCI EAFE Small Cap Index over a full market cycle. View Fund Details TMDPX TimesSquare Mid Cap Growth Fund Seeks to provide long-term capital appreciation by investing primarily in mid cap companies. View Fund Details TSCPX TimesSquare Small Cap Growth Fund Seeks to provide long-term capital appreciation by primarily investing in small cap companies. View Fund Details Read Important Investment Disclosures Founded 2000 Headquarters New York, NY Affiliate Since 2004 Discover how the boutique advantage helps generate alpha. Learn More About AMG