Holdings—Artisan International Fund (ARTIX

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Holdings—Artisan International Fund (ARTIX Artisan International Fund Holdings As of 30 June 2020 Portfolio Holdings Quantity Security Name/Description Price Book Total Market Value Book Pct Assets (%) 530,773 Accenture PLC 214.72 113,967,578.56 1.24 33,566,178 AIA Group Ltd 9.31 312,402,711.82 3.40 2,718,058 Air Liquide SA 144.09 391,642,008.01 4.26 1,398,774 Airbus SE 71.16 99,535,024.92 1.08 825,352 Alibaba Group Holding Ltd 215.70 178,028,426.40 1.94 496,493 Allianz SE 203.97 101,271,537.69 1.10 92,435 Alphabet Inc 1,418.05 131,077,451.75 1.43 37,269 Alphabet Inc 1,413.61 52,683,831.09 0.57 6,468,636 Amarin Corp PLC 6.92 44,762,961.12 0.49 101,228 Amazon.com Inc 2,758.82 279,269,830.96 3.04 1,528,846 Amundi SA 78.22 119,584,793.69 1.30 1,679,172 Aon PLC 192.60 323,408,527.20 3.52 355,065 Ascendis Pharma A/S 147.90 52,514,113.50 0.57 4,447,681 Assicurazioni Generali SpA 15.11 67,215,822.18 0.73 6,120,500 Astellas Pharma Inc 16.65 101,885,693.45 1.11 1,881,784 AVEVA Group PLC 50.63 95,267,272.15 1.04 331,700 Canadian Pacific Railway Ltd 254.36 84,371,423.10 0.92 2,362,870 Coca-Cola European Partners PLC 37.76 89,221,971.20 0.97 3,394,456 Deutsche Boerse AG 180.75 613,544,406.22 6.68 908,921 Deutsche Post AG 36.48 33,157,138.93 0.36 13,221,477 Deutsche Telekom AG 16.73 221,161,015.57 2.41 4,766,200 Diageo PLC 33.19 158,208,945.62 1.72 235,756 DSV PANALPINA A/S 122.00 28,761,228.70 0.31 7,511,481 E.ON SE 11.24 84,449,786.65 0.92 16,431,778 EDP - Energias de Portugal SA 4.77 78,364,980.53 0.85 1,103,393 Eiffage SA 91.31 100,747,136.51 1.10 977,663 Genmab A/S 334.52 327,049,079.68 3.56 599,015 GFL Environmental Inc 18.77 11,243,511.55 0.12 1,921,121 Grifols SA 18.24 35,041,247.04 0.38 2,501,290 Idorsia Ltd 31.93 79,857,354.86 0.87 1,495,545 Intercontinental Exchange Inc 91.60 136,991,922.00 1.49 1,350,197 Koninklijke DSM NV 138.22 186,628,200.36 2.03 2,628,492 Linde PLC 210.49 553,265,008.95 6.02 312,243 Lonza Group AG 527.29 164,643,878.13 1.79 573,748 Medacta Group SA 79.14 45,403,823.63 0.49 2,199,395 Medtronic PLC 91.70 201,684,521.51 2.20 10,222,501 Midea Group Co Ltd 8.46 86,473,076.85 0.94 3,280,694 Nestle SA 110.48 362,435,293.80 3.94 795,274 Nice Ltd 189.24 150,497,651.76 1.64 2,135,207 Nippon Shinyaku Co Ltd 81.31 173,624,221.48 1.89 1,130,557 Novo Nordisk A/S 64.71 73,159,676.26 0.80 4,341,800 Ping An Healthcare and Technology Co Ltd 15.19 65,964,167.16 0.72 2,400,609 Reliance Industries Ltd 22.60 54,256,540.87 0.59 2,926,043 RELX PLC 23.15 67,724,038.12 0.74 1,033,934 Roche Holding AG 346.23 357,980,571.41 3.90 853,255 Siemens AG 117.47 100,229,953.94 1.09 910,300 Sony Corp 68.48 62,338,550.79 0.68 712,252 Symrise AG 116.02 82,635,252.44 0.90 8,214,000 Taiwan Semiconductor Manufacturing Co Ltd 10.58 86,920,880.40 0.95 5,414,974 Taiyo Nippon Sanso Corp 16.70 90,454,919.64 0.98 10,628,571 Telefonaktiebolaget LM Ericsson 9.23 98,148,876.30 1.07 468,014 Temenos AG 155.05 72,563,719.05 0.79 3,067,900 Tencent Holdings Ltd 64.23 197,062,896.83 2.14 Artisan International Fund Holdings As of 30 June 2020 Portfolio Holdings Quantity Security Name/Description Price Book Total Market Value Book Pct Assets (%) 1,011,457 TMX Group Ltd 98.87 100,005,799.34 1.09 16,659,765 UBS Group AG 11.49 191,396,530.93 2.08 747,415 UCB SA 115.75 86,512,442.99 0.94 1,208,242 Vinci SA 91.96 111,108,455.54 1.21 941,864 Willis Towers Watson PLC 196.95 185,500,114.80 2.02 6,379,472 Wuliangye Yibin Co Ltd 24.21 154,456,077.58 1.68 13,914,669 Wynn Macau Ltd 1.74 24,173,497.27 0.26 Total Equity Securities 8,733,937,370.78 95.06 14,322,232 Ryanair Holdings PLC P-Cert 11.95 171,123,460.16 1.86 1,208,242 Vinci SA 0.00 0.00 0.00 Total Equity Derivatives 171,123,460.16 1.86 Total Portfolio Holdings 8,905,060,830.94 96.92 Other Assets Less Liabilities* 282,642,748.89 3.08 Total Net Assets $9,187,703,579.83 100.00% *Other Assets Less Liabilities include Cash, Cash Equivalents and/or Currency Derivatives, which may include unrealized gains/losses from foreign exchange contracts. Source: Artisan Partners. All figures are presented in USD unless otherwise noted. Information in this report includes all classes of shares. The Fund's portfolio holdings are as of the date indicated and are subject to change without notice. The listing of holdings does not constitute investment advice or a recommendation of any individual security. This listing is for informational purposes only and may not be identical to the official books and records of the Fund. Security names may not represent the official legal corporate name. Please refer to the Fund's most recent Annual Report for an audited portfolio holdings list. If applicable, SEDOL information sourced from the London Stock Exchange SEDOL Masterfile. This material is provided for informational purposes without regard to your particular investment needs. This material shall not be construed as investment or tax advice on which you may rely for your investment decisions. Investors should consult their financial and tax adviser before making investments in order to determine the appropriateness of any investment product discussed herein. We expressly confirm that neither Artisan Partners nor its affiliates have made or are making an investment recommendation, or have provided or are providing investment advice of any kind whatsoever (whether impartial or otherwise), in connection with any decision to hire Artisan Partners as an investment adviser, invest in or remain invested in any funds to which we serve as investment adviser or otherwise engage with Artisan Partners in a business relationship. Carefully consider the Fund’s investment objective, risks and charges and expenses. This and other important information is contained in the Fund's prospectus and summary prospectus, which can be obtained by calling 800.399.1770. Read carefully before investing. Artisan Partners Funds offered through Artisan Partners Distributors LLC, member FINRA. © 2020 Artisan Partners. All rights reserved..
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