Fund Holdings As of 06/30/2021 MassMutual Premier International Equity Fund Wellington | TSW Prior to 5/1/2021, the Fund name was MassMutual Premier International Equity Fund. Fund Shares or Par Position Market Security Name Ticker ISIN Weighting (%) Amount Value ($) Astellas Pharma Inc 4503 JP3942400007 3.21 278,340 4,845,234 Roche Holding AG ROG CH0012032048 3.08 12,339 4,650,206 Fixed Inc Clearing Corp.Repo 0 0 3.05 4,608,442 4,608,442 Heineken NV HEIA NL0000009165 2.95 36,729 4,452,619 Novartis AG NOVN CH0012005267 2.92 48,445 4,415,510 Nestle SA NESN CH0038863350 2.87 34,764 4,329,347 LIN IE00BZ12WP82 2.82 14,750 4,261,921 Smith & Nephew PLC SN. GB0009223206 2.79 194,751 4,220,422 AIA Group Ltd 01299 HK0000069689 2.73 332,185 4,128,621 PLC DGE GB0002374006 2.72 85,793 4,111,501 KDDI Corp 9433 JP3496400007 2.54 123,100 3,838,163 PLC ULVR GB00B10RZP78 2.50 64,517 3,775,670 Benckiser Group PLC RKT GB00B24CGK77 2.49 42,548 3,765,549 Vinci SA DG FR0000125486 2.41 34,142 3,645,680 BAE Systems PLC BA. GB0002634946 2.21 462,650 3,344,771 Koninklijke NV PHIA NL0000009538 2.18 66,390 3,291,238 NG. GB00BDR05C01 2.11 250,417 3,188,395 Kao Corp 4452 JP3205800000 2.10 51,640 3,176,558 AB B ASSA B SE0007100581 2.05 102,699 3,094,208 Intact Financial Corp IFC CA45823T1066 2.04 22,685 3,081,946 Industria De Diseno Textil SA ITX ES0148396007 2.03 86,891 3,061,762 Canadian National Railway Co CNR CA1363751027 1.98 28,378 2,994,158 Shiseido Co Ltd 4911 JP3351600006 1.97 40,410 2,971,417 AstraZeneca PLC AZN GB0009895292 1.82 22,890 2,746,759 SE CAP FR0000125338 1.66 13,059 2,511,127 PLC CPG GB00BD6K4575 1.59 114,073 2,405,922 SA IBE ES0144580Y14 1.56 193,162 2,353,762 SE SU FR0000121972 1.50 14,390 2,265,195 PLC EXPN GB00B19NLV48 1.49 58,323 2,249,931 Kirin Holdings Co Ltd 2503 JP3258000003 1.43 110,970 2,163,098 TotalEnergies SE TTE FR0000120271 1.41 46,990 2,131,812 Bank of Nova Scotia BNS CA0641491075 1.37 31,830 2,070,131 SA CS FR0000120628 1.35 80,236 2,032,694 PRU GB0007099541 1.14 91,159 1,729,636 Merck KGaA MRK DE0006599905 1.06 8,317 1,596,614 Chugai Pharmaceutical Co Ltd 4519 JP3519400000 0.96 36,840 1,451,008 LVMH Moet Hennessy Louis Vuitton SE MC FR0000121014 0.91 1,746 1,370,901 Sysmex Corp 6869 JP3351100007 0.82 10,530 1,243,715 PLC Class A RDSA GB00B03MLX29 0.78 58,937 1,184,367 Sony Group Corp 6758 JP3435000009 0.75 11,700 1,135,521 Seven & i Holdings Co Ltd 3382 JP3422950000 0.48 15,200 724,569 SA ENGI FR0010208488 0.45 49,700 681,349 UBS Group AG UBSG CH0244767585 0.44 43,900 672,174 AG SIE DE0007236101 0.44 4,160 659,152 Toyota Industries Corp 6201 JP3634600005 0.43 7,600 657,167 Heineken Holding NV HEIO NL0000008977 0.41 6,200 624,618 SA SAN FR0000120578 0.40 5,700 597,278 SAP SE SAP DE0007164600 0.39 4,200 592,609 Group PLC SK3 IE00B1RR8406 0.39 10,900 591,354 CK Hutchison Holdings Ltd 00001 KYG217651051 0.39 75,700 589,860 HeidelbergCement AG HEI DE0006047004 0.39 6,800 583,422 ORIX Corp 8591 JP3200450009 0.38 34,100 573,785 SE & Co KGaA FRE DE0005785604 0.37 10,700 558,331 AG DPW DE0005552004 0.36 8,100 551,132 PLC TSCO GB00BLGZ9862 0.36 174,200 537,748 Environnement SA VIE FR0000124141 0.35 17,700 534,781 Fund Shares or Par Position Market Security Name Ticker ISIN Weighting (%) Amount Value ($) Hitachi Ltd 6501 JP3788600009 0.35 9,200 526,524 Toshiba Corp 6502 JP3592200004 0.35 12,100 523,553 Olympus Corp 7733 JP3201200007 0.34 26,200 520,528 KBC Group SA/NV KBC BE0003565737 0.34 6,800 517,977 DBS Group Holdings Ltd D05 SG1L01001701 0.34 23,200 514,830 ABB Ltd ABBN CH0012221716 0.33 14,600 495,590 Basf Se Common Stock Npv 0 0 0.32 6,200 488,572 Deutsche Boerse AG DB1 DE0005810055 0.32 2,780 485,253 Rakuten Group Inc 4755 JP3967200001 0.32 42,500 479,487 Sumitomo Mitsui Financial Group Inc 8316 JP3890350006 0.31 13,800 474,923 Macquarie Group Ltd MQG AU000000MQG1 0.30 3,900 457,425 Alcon Inc ALC CH0432492467 0.29 6,200 434,290 AG IFX DE0006231004 0.28 10,400 417,049 Liberty Global PLC C LBTYK GB00B8W67B19 0.27 15,000 405,600 DCC PLC DCC IE0002424939 0.27 4,900 401,385 Fujitsu Ltd 6702 JP3818000006 0.26 2,100 393,339 PSN GB0006825383 0.26 9,500 389,429 Kyocera Corp 6971 JP3249600002 0.25 6,100 376,953 Co PLC BLND GB0001367019 0.25 54,400 372,990 CK Asset Holdings Ltd 01113 KYG2177B1014 0.25 54,000 372,783 PLC LLOY GB0008706128 0.25 574,800 371,844 Mowi ASA MOWI NO0003054108 0.25 14,600 371,400 ArcelorMittal 0 0 0.24 11,800 362,237 Check Point Software Technologies Ltd CHKP IL0010824113 0.24 3,090 358,842 Siemens Energy AG Ordinary Shares ENR 0 0.24 11,780 355,170 Nintendo Co Ltd 7974 JP3756600007 0.23 600 349,104 PLC AV. GB0002162385 0.23 61,100 343,581 Santos Ltd STO AU000000STO6 0.23 63,800 340,333 SE ALV DE0008404005 0.22 1,360 339,097 Fanuc Corp 6954 JP3802400006 0.22 1,400 337,470 ASML Holding NV ASML NL0010273215 0.22 490 337,366 Investor AB B INVE B SE0015811963 0.22 14,500 334,036 AB B VOLV B SE0000115446 0.21 13,400 322,544 PLC ENT IM00B5VQMV65 0.20 12,700 306,895 PLC AHT GB0000536739 0.20 4,000 297,104 Cie Financiere Richemo A Reg Common Stock Chf1.0 0 0 0.19 2,400 290,573 Anheuser Busch Inbev Sa/Nv Common Stock 0 0 0.19 3,900 280,856 KGF GB0033195214 0.19 55,600 280,520 Groupe Bruxelles Lambert SA GBLB BE0003797140 0.19 2,500 279,623 NXP Semiconductors NV NXPI NL0009538784 0.18 1,300 267,436 A. P. Moller Maersk A/S B MAERSK B DK0010244508 0.17 90 258,822 PLC IMB GB0004544929 0.17 12,000 258,594 Rexel SA RXL FR0010451203 0.17 12,100 253,233 Denka Co Ltd 4061 JP3549600009 0.17 7,500 249,328 PLC BNZL GB00B0744B38 0.16 7,300 241,387 Lendlease Group LLC AU000000LLC3 0.15 27,200 233,816 Ubisoft Entertainment UBI FR0000054470 0.15 3,300 231,054 AIB Group PLC A5G IE00BF0L3536 0.15 89,100 229,256 PLC GLEN JE00B4T3BW64 0.15 53,400 228,679 Square Enix Holdings Co Ltd 9684 JP3164630000 0.15 4,600 228,222 PLC INF GB00BMJ6DW54 0.15 32,800 228,000 Prysmian SpA PRY IT0004176001 0.15 6,300 225,962 Samsung Electronics Co Ltd 005930 KR7005930003 0.15 3,100 222,194 Sega Sammy Holdings Inc 6460 JP3419050004 0.15 16,900 221,864 Arkema SA AKE FR0010313833 0.13 1,600 200,883 B Common Stock Sek3.35 0 0 0.13 6,000 198,949 Inchcape PLC INCH GB00B61TVQ02 0.13 17,956 191,006 Plc Common Stock Gbp.06857143 0 0 0.13 88,000 189,349 Dassault Aviation SA AM FR0000121725 0.12 160 188,359 Japan Airlines Co Ltd 9201 JP3705200008 0.12 8,200 177,411 Mediobanca SpA MB IT0000062957 0.11 14,691 171,455 Fund Shares or Par Position Market Security Name Ticker ISIN Weighting (%) Amount Value ($) PLC BDEV GB0000811801 0.11 17,700 170,516 EXOR NV EXO NL0012059018 0.10 1,900 152,073 Talanx AG TLX DE000TLX1005 0.10 3,700 151,299 AG BAYN DE000BAY0017 0.08 2,100 127,558 Amundi SA AMUN FR0004125920 0.07 1,139 100,348 BHP Group PLC ADR BBL US05545E2090 0.06 1,600 95,504 Ams Ag Common Stock 0 0 0.06 4,566 91,618 AB LUNE SE0000825820 0.05 2,300 81,607 Siemens Gamesa Renewable Energy SA SGRE ES0143416115 0.05 2,300 76,787 SE AIR NL0000235190 0.04 500 64,390 Holdings PLC ADR RYAAY US7835132033 0.04 500 54,105 Matsumotokiyoshi Holdings Co Ltd 3088 JP3869010003 0.04 1,200 52,967 Jpy 0 0 0.02 29,387 29,387 Cad 0 0 0.02 27,278 27,278 Gbp 0 0 0.00 4,216 4,216 Eur 0 0 0.00 4,132 4,132

Investors should carefully consider investment objectives, risks, charges and expenses. This and other important information is contained in the fund prospectuses and summary prospectuses, which can be obtained from www.MassMutual.com/mmfunds/ and should be read carefully before investing.

The mention of individual stocks and other securities in this document does not constitute investment advice.

© 2021 Massachusetts Mutual Life Insurance Company (MassMutual®), Springfield, MA. All rights reserved. www.MassMutual.com Principal Underwriter: MML Distributors, LLC. (MMLD), 1295 State St., Springfield, MA 01111. Member FINRA and SIPC (www.FINRA.org and www.SIPC.org). Investment advisory services provided to the Funds by MML Investment Advisers, LLC (MML Investment Advisers). MMLD and MML Investment Advisers are subsidiaries of Massachusetts Mutual Life Insurance Company (MassMutual), Springfield, MA 01111-0001.

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