AMG TimesSquare International Small Cap Fund - Portfolio Holdings as of August 31, 2021

Ticker Name Sector Asset Class Country Currency Par/Shares Price ($) Market Value ($) % of Fund STJ St James's Place PLC Financials Stock GB GBP 1,495,700 22.14 $33,121,895 3.02% 3038 Kobe Bussan Co Ltd Consumer Staples Stock JP JPY 776,298 38.90 $30,198,029 2.76% NENTB Nordic Entertainment Group AB, Class B Communication Services Stock SE SEK 509,004 58.09 $29,569,443 2.70% FUTR Communication Services Stock GB GBP 519,000 52.93 $27,471,565 2.51% SAVE Nordnet AB publ Financials Stock SE SEK 1,296,087 18.14 $23,512,787 2.15% ROR PLC Industrials Stock GB GBP 4,852,400 4.59 $22,275,338 2.03% SDF Steadfast Group Ltd Financials Stock AU AUD 6,003,183 3.64 $21,822,880 1.99% IP Interpump Group SpA Industrials Stock IT EUR 296,757 71.07 $21,090,846 1.93% VALMT Valmet OYJ Industrials Stock FI EUR 524,500 40.13 $21,048,303 1.92% HSV PLC Industrials Stock GB GBP 1,630,700 12.88 $21,007,239 1.92% TOP Topdanmark A/S Financials Stock DK DKK 394,111 52.64 $20,747,033 1.89% 6134 Fuji Corp Industrials Stock JP JPY 785,300 25.89 $20,329,042 1.86% ORP Orpea SA Health Care Stock FR EUR 157,482 126.06 $19,852,044 1.81% BESI BE Semiconductor Industries NV Information Technology Stock NL EUR 212,500 91.00 $19,336,909 1.77% CIE CIE Automotive SA Consumer Discretionary Stock ES EUR 658,578 28.76 $18,940,825 1.73% GEN Group PLC Industrials Stock GB GBP 1,720,005 10.91 $18,758,827 1.71% BFSA Befesa SA 144A Industrials Stock LU EUR 230,661 81.10 $18,706,391 1.71% AUTO Auto Trader Group PLC 144A Communication Services Stock GB GBP 2,157,440 8.65 $18,656,729 1.70% PSG Prosegur Cia de Seguridad SA Industrials Stock ES EUR 5,611,683 3.26 $18,268,378 1.67% 6856 Horiba Ltd Information Technology Stock JP JPY 253,948 71.47 $18,148,561 1.66% 7649 Sugi Holdings Co Ltd Consumer Staples Stock JP JPY 235,297 77.00 $18,117,239 1.65% SPT Communications PLC Information Technology Stock GB GBP 4,397,300 4.10 $18,009,484 1.64% IPH IPH Ltd Industrials Stock AU AUD 2,354,840 6.85 $16,122,459 1.47% 2371 Kakaku.com Inc Communication Services Stock JP JPY 517,800 31.11 $16,111,221 1.47% ECM PLC Industrials Stock GB GBP 1,074,251 14.63 $15,720,150 1.43% 5857 Asahi Holdings Inc Materials Stock JP JPY 773,200 20.19 $15,612,553 1.43% 7780 Menicon Co Ltd Health Care Stock JP JPY 184,200 81.94 $15,093,877 1.38% ALKB ALK-Abello A/S, Class B Health Care Stock DK DKK 30,700 488.80 $15,006,234 1.37%

Disclosure: Mention of a specific security should not be considered a recommendation to buy or a solicitation to sell that security. Holdings listed are as Page 1 of 3 of the date of publication and are subject to change. Investors should carefully consider the Fund’s investment objectives, risks, charges and expenses before investing. For this and other information, please call 800.835.3879 or visit www.amgfunds.com to download a free prospectus. Read it carefully before investing or sending money. Funds are distributed by AMG Distributors, Inc., a member of FINRA/SIPC. AMG TimesSquare International Small Cap Fund - Portfolio Holdings as of August 31, 2021

Ticker Name Sector Asset Class Country Currency Par/Shares Price ($) Market Value ($) % of Fund NEX Nexans SA Industrials Stock FR EUR 145,800 100.24 $14,614,689 1.33% HUH1V Huhtamaki Oyj Materials Stock FI EUR 265,100 53.42 $14,162,819 1.29% RWS RWS Holdings PLC Industrials Stock GB GBP 1,580,000 8.93 $14,108,848 1.29% LRE Ltd Financials Stock GB GBP 1,585,676 8.59 $13,618,218 1.24% AMP Amplifon SpA Health Care Stock IT EUR 259,695 52.31 $13,583,960 1.24% 4970 Toyo Gosei Co Ltd Materials Stock JP JPY 96,300 137.66 $13,257,003 1.21% GFTU PLC Industrials Stock IE GBP 689,591 19.22 $13,251,703 1.21% KWS Keywords Studios PLC Information Technology Stock IE GBP 307,371 42.92 $13,193,229 1.20% 6750 Elecom Co Ltd Information Technology Stock JP JPY 811,676 16.18 $13,132,098 1.20% 4927 Pola Orbis Holdings Inc Consumer Staples Stock JP JPY 590,800 21.82 $12,888,894 1.18% 3319 A-Living Smart City Services Co Ltd 144A Real Estate Stock CN HKD 3,193,200 3.97 $12,690,884 1.16% 9468 Kadokawa Corp Communication Services Stock JP JPY 274,100 45.86 $12,570,460 1.15% 2345 Accton Technology Corp Information Technology Stock TW TWD 1,237,800 10.13 $12,540,596 1.14% 4369 Tri Chemical Laboratories Inc Information Technology Stock JP JPY 391,700 31.77 $12,442,643 1.14% 7476 As One Corp Health Care Stock JP JPY 82,400 148.49 $12,235,884 1.12% MRO Melrose Industries Plc Industrials Stock GB GBP 5,017,880 2.31 $11,586,692 1.06% 9793 Daiseki Co Ltd Industrials Stock JP JPY 285,720 40.46 $11,558,962 1.06% STM Stabilus SA Industrials Stock LU EUR 142,211 78.67 $11,187,903 1.02% HWDN Howden Joinery Group PLC Industrials Stock GB GBP 846,363 13.01 $11,009,398 1.00% BOY PLC Industrials Stock GB GBP 814,239 13.27 $10,808,533 0.99% TOTS3 Totvs SA Information Technology Stock BR BRL 1,384,200 7.58 $10,496,341 0.96% SOP Sopra Steria Group SACA Information Technology Stock FR EUR 51,293 203.70 $10,448,477 0.95% 4516 Nippon Shinyaku Co Ltd Health Care Stock JP JPY 127,500 81.17 $10,349,056 0.94% 8919 Katitas Co Ltd Real Estate Stock JP JPY 309,752 33.21 $10,287,724 0.94% 3563 Food & Life Cos Ltd Consumer Discretionary Stock JP JPY 239,404 42.92 $10,275,698 0.94% 2317 Systena Corp Information Technology Stock JP JPY 491,100 20.31 $9,973,521 0.91% THULE Thule Group AB 144A Consumer Discretionary Stock SE SEK 176,500 54.63 $9,642,624 0.88% RUI Rubis SCA Utilities Stock FR EUR 245,430 38.79 $9,520,768 0.87% IPS IPSOS Communication Services Stock FR EUR 189,545 48.47 $9,187,109 0.84%

Disclosure: Mention of a specific security should not be considered a recommendation to buy or a solicitation to sell that security. Holdings listed are as Page 2 of 3 of the date of publication and are subject to change. Investors should carefully consider the Fund’s investment objectives, risks, charges and expenses before investing. For this and other information, please call 800.835.3879 or visit www.amgfunds.com to download a free prospectus. Read it carefully before investing or sending money. Funds are distributed by AMG Distributors, Inc., a member of FINRA/SIPC. AMG TimesSquare International Small Cap Fund - Portfolio Holdings as of August 31, 2021

Ticker Name Sector Asset Class Country Currency Par/Shares Price ($) Market Value ($) % of Fund FBK FinecoBank Banca Fineco SpA Financials Stock IT EUR 482,013 18.42 $8,879,674 0.81% VRLA Verallia SA 144A Materials Stock FR EUR 238,100 36.45 $8,678,847 0.79% PAX Patria Investments Ltd, Class A Financials Stock KY USD 505,600 16.48 $8,332,288 0.76% 8454 momo.com Inc Consumer Discretionary Stock TW TWD 132,420 62.04 $8,215,322 0.75% 7164 Zenkoku Hosho Co Ltd Financials Stock JP JPY 163,209 47.57 $7,763,513 0.71% TIP Tamburi Investment Partners SpA Financials Stock IT EUR 700,315 10.91 $7,642,332 0.70% HEPS D-MARKET Elektronik Hizmetler ve Ticaret AS ADR Consumer Discretionary Stock TR USD 845,640 8.74 $7,390,894 0.67% BOAS3 Boa Vista Servicos SA Industrials Stock BR BRL 2,772,600 2.52 $6,997,453 0.64% 7730 Mani Inc Health Care Stock JP JPY 352,033 19.77 $6,959,960 0.64% DHG Dalata Hotel Group PLC Consumer Discretionary Stock IE EUR 1,532,021 4.46 $6,836,031 0.62% 354 Chinasoft International Ltd Information Technology Stock CN HKD 3,978,300 1.69 $6,743,114 0.62% PPH Pushpay Holdings Ltd Information Technology Stock NZ NZD 5,315,700 1.25 $6,635,803 0.61% AFYA Afya Ltd, Class A Consumer Discretionary Stock BR USD 304,300 21.58 $6,566,794 0.60% CRE Conduit Holdings Ltd Financials Stock BM GBP 940,000 6.96 $6,539,064 0.60% PEXIP Pexip Holding ASA Information Technology Stock NO NOK 802,157 7.76 $6,227,976 0.57% 4449 giftee Inc Communication Services Stock JP JPY 186,600 32.45 $6,055,994 0.55% DOV doValue SpA 144A Financials Stock IT EUR 450,900 12.51 $5,639,923 0.51% 6095 Medpeer Inc Health Care Stock JP JPY 140,600 38.61 $5,428,718 0.50% 064760 Tokai Carbon Korea Co Ltd Information Technology Stock KR KRW 34,221 146.02 $4,996,985 0.46% 1579 Yihai International Holding Ltd Consumer Staples Stock CN HKD 874,200 5.41 $4,729,459 0.43% VH2 Friedrich Vorwerk Group SE Energy Stock DE EUR 87,000 48.81 $4,246,662 0.39% LINK Link Mobility Group Holding ASA Information Technology Stock NO NOK 865,200 4.72 $4,082,259 0.37% 9923 Yeahka Ltd Information Technology Stock CN HKD 973,800 4.12 $4,010,378 0.37% ARCAD Arcadis NV Industrials Stock NL EUR 75,513 49.52 $3,739,042 0.34% REAL Real Matters Inc Real Estate Stock CA CAD 308,600 9.19 $2,837,364 0.26% Cash & Equivalents Cash Currency US USD 0 $22,099,103 2.02%

Disclosure: Mention of a specific security should not be considered a recommendation to buy or a solicitation to sell that security. Holdings listed are as Page 3 of 3 of the date of publication and are subject to change. Investors should carefully consider the Fund’s investment objectives, risks, charges and expenses before investing. For this and other information, please call 800.835.3879 or visit www.amgfunds.com to download a free prospectus. Read it carefully before investing or sending money. Funds are distributed by AMG Distributors, Inc., a member of FINRA/SIPC.