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Fund Holdings As of 06/30/2021 MassMutual Overseas Fund MFS | Harris Associates Prior to 5/1/2021, the Fund name was MassMutual Select Overseas Fund. Fund Shares or Par Position Market Security Name Ticker ISIN Weighting (%) Amount Value ($) Nestle SA NESN CH0038863350 2.55 140,603 17,510,044 Roche Holding AG ROG CH0012032048 2.54 46,200 17,411,422 SE SU FR0000121972 2.13 92,857 14,617,041 AG BAYN DE000BAY0017 2.12 239,114 14,524,189 SAP SE SAP DE0007164600 2.11 102,471 14,458,397 ISP IT0000072618 1.95 4,848,356 13,381,730 SA AI FR0000120073 1.90 74,209 13,003,204 AIA Group Ltd 01299 HK0000069689 1.80 995,400 12,371,508 SE CAP FR0000125338 1.76 62,824 12,080,485 LVMH Moet Hennessy Louis Vuitton SE MC FR0000121014 1.72 15,031 11,801,844 AG NOVN CH0012005267 1.52 114,279 10,415,935 Hitachi Ltd 6501 JP3788600009 1.51 181,400 10,381,676 Novo Nordisk A/S B NOVO B DK0060534915 1.43 117,341 9,816,986 PLC LLOY GB0008706128 1.33 14,109,700 9,127,705 Deutsche Boerse AG DB1 DE0005810055 1.25 49,120 8,573,961 SA RI FR0000120693 1.24 38,233 8,486,137 Compagnie Financiere SA CFR CH0210483332 1.23 69,533 8,418,508 Bayerische Motoren Werke AG BMW DE0005190003 1.20 77,985 8,261,385 Canadian National Railway Co CNR CA1363751027 1.20 78,165 8,247,971 Fixed Inc Clearing Corp.Repo 0 0 1.16 7,978,732 7,978,732 Amadeus IT Group SA A AMS ES0109067019 1.16 112,959 7,943,990 Daimler AG DAI DE0007100000 1.16 88,773 7,930,118 PLC DGE GB0002374006 1.15 164,811 7,898,321 PLC CPG GB00BD6K4575 1.15 374,480 7,898,184 BNP Paribas Act. Cat.A BNP FR0000131104 1.15 125,431 7,855,003 AG BEI DE0005200000 1.14 64,745 7,814,176 Daikin Industries Ltd 6367 JP3481800005 1.13 41,800 7,781,110 SE ALV DE0008404005 1.11 30,640 7,639,657 Hoya Corp 7741 JP3837800006 1.10 57,000 7,554,714 PLC GLEN JE00B4T3BW64 1.10 1,762,000 7,545,546 Koninklijke NV PHIA NL0000009538 1.09 150,481 7,459,990 Taiwan Semiconductor Manufacturing Co Ltd ADR TSM US8740391003 1.07 61,188 7,352,350 UBS Group AG UBSG CH0244767585 1.06 475,543 7,281,270 Continental AG CON DE0005439004 1.05 49,180 7,232,072 Group AG CSGN CH0012138530 1.03 675,425 7,069,152 Essilorluxottica EL FR0000121667 1.02 37,957 7,008,662 Merck KGaA MRK DE0006599905 1.02 36,466 7,000,375 RELX PLC REL GB00B2B0DG97 1.02 263,168 6,991,459 Akzo Nobel NV AKZA NL0013267909 0.99 55,040 6,801,605 Ryanair Holdings PLC ADR RYAAY US7835132033 0.98 62,352 6,747,110 CNH Industrial NV CNHI NL0010545661 0.97 404,397 6,681,743 Kubota Corp 6326 JP3266400005 0.93 317,000 6,409,043 Terumo Corp 4543 JP3546800008 0.91 154,500 6,258,403 PLC EXPN GB00B19NLV48 0.87 154,836 5,973,121 Tata Consultancy Services Ltd TCS INE467B01029 0.86 130,573 5,892,422 Naspers Ltd Class N NPN ZAE000015889 0.85 27,600 5,798,031 AG ZURN CH0011075394 0.84 14,394 5,771,236 ING Groep NV INGA NL0011821202 0.81 417,681 5,525,779 LIN IE00BZ12WP82 0.79 18,768 5,422,779 Olympus Corp 7733 JP3201200007 0.78 270,500 5,374,156 Medical Care AG & Co. KGaA FME DE0005785802 0.76 62,400 5,183,487 PLC RIO GB0007188757 0.74 61,369 5,052,315 DBS Group Holdings Ltd D05 SG1L01001701 0.74 227,400 5,046,227 Kyocera Corp 6971 JP3249600002 0.73 81,100 5,011,620 Randstad NV RAND NL0000379121 0.73 65,392 5,004,779 Check Point Technologies Ltd CHKP IL0010824113 0.72 42,597 4,946,790 SA BN FR0000120644 0.71 69,567 4,898,294 SA LR FR0010307819 0.69 44,990 4,764,615 L'Oreal SA OR FR0000120321 0.69 10,675 4,760,105 Accor SA AC FR0000120404 0.69 126,592 4,730,237 Sika AG SIKA CH0418792922 0.69 14,456 4,726,878 Benckiser Group PLC RKT GB00B24CGK77 0.68 53,056 4,695,520 Holdings Ltd 00700 KYG875721634 0.67 61,400 4,618,455 Liberty Global PLC Class A LBTYA GB00B8W67662 0.67 170,000 4,617,200 Fund Shares or Par Position Market Security Name Ticker ISIN Weighting (%) Amount Value ($)

SMC Corp 6273 JP3162600005 0.65 7,600 4,489,018 EXOR NV EXO NL0012059018 0.62 53,100 4,250,034 KBC Group SA/NV KBC BE0003565737 0.62 55,581 4,233,775 PLC SMIN GB00B1WY2338 0.61 191,231 4,213,381 Housing Development Finance Corp Ltd HDFC INE001A01036 0.58 119,588 3,993,882 PLC TSCO GB00BLGZ9862 0.57 1,276,735 3,941,226 Yum China Holdings Inc Ordinary Shares YUMC US98850P1093 0.57 59,306 3,929,022 Carlsberg A/S B CARL B DK0010181759 0.57 20,883 3,898,595 thyssenkrupp AG TKA DE0007500001 0.56 369,617 3,852,476 SA ENGI FR0010208488 0.56 280,181 3,841,065 Qiagen NV QGEN NL0012169213 0.55 78,713 3,804,619 Julius Baer Gruppe AG BAER CH0102484968 0.55 57,465 3,747,912 Denso Corp 6902 JP3551500006 0.54 54,600 3,723,073 Rolls-Royce Holdings PLC RR. GB00B63H8491 0.54 2,691,448 3,692,372 Grupo Televisa SAB ADR TV US40049J2069 0.53 255,500 3,648,540 Koito Manufacturing Co Ltd 7276 JP3284600008 0.53 58,300 3,624,310 NatWest Group PLC NWG GB00B7T77214 0.52 1,280,700 3,598,618 Hennes & Mauritz AB Class B HM B SE0000106270 0.51 148,794 3,530,919 Sony Group Corp 6758 JP3435000009 0.51 35,800 3,474,500 Dassault Systemes SE DSY FR0014003TT8 0.51 14,304 3,470,149 SA FR FR0013176526 0.48 108,730 3,274,744 Japan Tobacco Inc 2914 JP3726800000 0.47 170,800 3,225,788 Toyota Motor Corp 7203 JP3633400001 0.47 36,900 3,221,282 Axis Bank Ltd 532215 INE238A01034 0.46 314,805 3,175,662 Groupe SA PUB FR0000130577 0.46 49,377 3,159,779 KOSE Corp 4922 JP3283650004 0.46 19,900 3,132,127 Open Text Corp OTEX CA6837151068 0.45 61,000 3,097,733 Holcim Ltd HOLN CH0012214059 0.44 50,384 3,022,864 Cie Generale des Etablissements SA ML FR0000121261 0.43 18,613 2,970,682 NAVER Corp 035420 KR7035420009 0.43 7,980 2,959,138 Cenovus Energy Inc CVE CA15135U1093 0.43 307,017 2,937,417 The Toronto-Dominion Bank TD CA8911605092 0.42 41,147 2,883,543 Shin-Etsu Chemical Co Ltd 4063 JP3371200001 0.42 17,200 2,874,884 WPP PLC WPP JE00B8KF9B49 0.42 212,044 2,870,632 Orica Ltd ORI AU000000ORI1 0.41 283,615 2,825,928 PLC SDR GB0002405495 0.41 57,568 2,801,094 PRU GB0007099541 0.41 146,700 2,783,463 Galp Energia SGPS SA GALP PTGAL0AM0009 0.40 249,918 2,719,285 Anheuser-Busch InBev SA/NV ABI BE0974293251 0.40 37,700 2,714,937 Suncor Energy Inc SU CA8672241079 0.38 109,887 2,631,934 SKF AB B SKF B SE0000108227 0.38 101,500 2,585,747 SpA ENI IT0003132476 0.38 211,330 2,578,270 MTU Aero Engines AG MTX DE000A0D9PT0 0.37 10,165 2,518,583 Volvo AB B VOLV B SE0000115446 0.36 102,400 2,464,810 Intact Financial Corp IFC CA45823T1066 0.33 16,713 2,270,600 Alibaba Group Holding Ltd ADR BABA US01609W1027 0.31 9,500 2,154,410 Alibaba Group Holding Ltd Ordinary Shares 09988 KYG017191142 0.31 74,740 2,117,594 NetEase Inc Ordinary Shares 09999 KYG6427A1022 0.30 88,100 2,032,434 UPM-Kymmene Oyj UPM FI0009005987 0.30 53,600 2,027,733 HDFC Bank Ltd HDFCBANK INE040A01034 0.29 99,494 2,005,410 Essity AB Class B ESSITY B SE0009922164 0.28 57,235 1,897,805 Brambles Ltd BXB AU000000BXB1 0.27 215,800 1,851,176 Restaurant Brands International Inc QSR CA76131D1033 0.26 27,200 1,752,768 Komatsu Ltd 6301 JP3304200003 0.24 67,500 1,677,093 NV WKL NL0000395903 0.24 16,326 1,640,887 Ambev SA ADR ABEV US02319V1035 0.23 457,587 1,574,099 AG & Co KGaA HEN DE0006048408 0.22 16,700 1,537,610 The Group AG Bearer Shares UHR CH0012255151 0.22 4,395 1,508,477 Fresenius SE & Co KGaA FRE DE0005785604 0.21 27,400 1,429,745 AMP Ltd AMP AU000000AMP6 0.19 1,560,838 1,321,002 PT Bank Mandiri (Persero) Tbk BMRI ID1000095003 0.19 3,147,200 1,278,020 Credit Suisse Group Guernsey VII Limited 3 0 CH1110994055 0.13 735,000 889,093 PLC BNZL GB00B0744B38 0.11 22,130 731,767 Ryanair Holdings PLC RYA IE00BYTBXV33 0.03 11,700 221,485 Henkel AG & Co KGaA Participating Preferred HEN3 DE0006048432 0.03 1,900 200,601 Samsung Electronics Co Ltd 005930 KR7005930003 0.02 2,350 168,437 Fund Shares or Par Position Market Security Name Ticker ISIN Weighting (%) Amount Value ($)

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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