Artisan International Small-Mid Fund Holdings

As of 31 March 2021

Portfolio Holdings Quantity Security Name/Description Price Book Total Market Value Book Pct Assets (%) 2,347,576 AAK AB 22.64 53,142,317.77 0.95 167,114 Acceleron Pharma Inc 135.61 22,662,329.54 0.41 1,238,449 Afya Ltd 18.59 23,022,766.91 0.41 698,534 Agilysys Inc 47.96 33,501,690.64 0.60 5,082,848 AIXTRON SE 22.72 115,487,707.42 2.07 1,310,139 Alcon Inc 70.02 91,736,760.33 1.65 71,856 ALK-Abello A/S 379.93 27,300,352.35 0.49 2,033,387 Alkermes PLC 18.68 37,983,669.16 0.68 3,152,582 Almirall SA 15.16 47,802,635.53 0.86 155,068 Alnylam Pharmaceuticals Inc 141.19 21,894,050.92 0.39 1,242,113 Altus Group Ltd 48.09 59,738,449.69 1.07 1,441,576 Ambu A/S 46.96 67,701,176.94 1.22 85,456 Argenx SE 274.88 23,490,220.47 0.42 1,045,374 ASOS PLC 76.29 79,753,384.68 1.43 605,225 Atos SE 78.01 47,212,394.22 0.85 1,134,062 AVEVA Group PLC 47.18 53,500,159.62 0.96 2,146,800 Azbil Corp 43.03 92,386,561.28 1.66 5,430,587 B&M European Value Retail SA 7.28 39,514,312.98 0.71 6,767,731 PLC 4.07 27,542,142.12 0.49 337,308 Baloise Holding AG 170.13 57,386,791.92 1.03 16,467 Barry Callebaut AG 2,259.96 37,214,740.54 0.67 486,880 BasWare Oyj 42.98 20,925,837.06 0.38 5,244 Belimo Holding AG 8,083.37 42,389,208.07 0.76 2,060,712 BioCryst Pharmaceuticals Inc 10.17 20,957,441.04 0.38 15,116,720 boohoo Group PLC 4.69 70,855,694.70 1.27 3,188,232 PLC 11.55 36,810,609.56 0.66 61,066 Burckhardt Compression Holding AG 333.28 20,352,102.84 0.37 2,828,528 CAE Inc 28.50 80,599,656.02 1.45 112,949 Cantargia AB 3.54 399,627.19 0.01 777,400 Carenet Inc 43.62 33,911,420.17 0.61 142,867 Carl Zeiss Meditec AG 150.69 21,528,906.81 0.39 185,365 Carlsberg AS 153.64 28,480,152.77 0.51 3,330,984 CKD Corp 20.84 69,402,394.10 1.25 153,196 Comet Holding AG 229.59 35,172,757.78 0.63 524,881 Compugen Ltd 8.59 4,508,727.79 0.08 30,737,466 ConvaTec Group PLC 2.70 83,096,729.09 1.49 808,399 Cree Inc 108.13 87,412,183.87 1.57 296,158 CyberArk Software Ltd 129.34 38,305,075.72 0.69 400,450 Daikokutenbussan Co Ltd 65.66 26,292,811.01 0.47 3,423,261 Davide Campari-Milano NV 11.20 38,346,104.47 0.69 356,476 DSV PANALPINA A/S 196.19 69,938,025.80 1.26 6,467,066 PLC 13.69 88,530,887.04 1.59 3,967,915 Elekta AB 12.97 51,453,477.56 0.92 140,924 en-japan Inc 30.84 4,346,402.89 0.08 1,211,468 Ergomed PLC 16.54 20,041,557.40 0.36 356,300 eSOL Co Ltd 11.35 4,044,877.85 0.07 251,899 Establishment Labs Holdings Inc 62.53 15,751,244.47 0.28 642,835 Fabrinet 90.39 58,105,855.65 1.04 955,391 Fevertree Drinks PLC 29.50 28,185,983.52 0.51 2,138,024 Flexion Therapeutics Inc 8.95 19,135,314.80 0.34 1,054,530 Fortnox AB 44.54 46,970,231.67 0.84 2,525,040 Fujitec Co Ltd 21.30 53,773,260.99 0.97 162,174 Genmab A/S 329.01 53,357,054.81 0.96 Artisan International Small-Mid Fund Holdings

As of 31 March 2021

Portfolio Holdings Quantity Security Name/Description Price Book Total Market Value Book Pct Assets (%) 652,602 Glaukos Corp 83.93 54,772,885.86 0.98 801,987 Global Blood Therapeutics Inc 40.75 32,680,970.25 0.59 1,191,932 Hamburger Hafen und Logistik AG 22.14 26,390,061.07 0.47 501,400 Hennge KK 66.74 33,464,402.82 0.60 2,775,603 PLC 16.56 45,955,619.99 0.83 6,222,208 Howden Joinery Group PLC 10.11 62,876,270.51 1.13 55,407 Hypoport SE 530.06 29,369,056.61 0.53 598,360 I-Mab 48.47 29,002,509.20 0.52 406,003 IMCD NV 138.96 56,420,186.59 1.01 509,643 IndiaMart InterMesh Ltd 105.83 53,937,762.07 0.97 1,233,326 Ingersoll Rand Inc 49.21 60,691,972.46 1.09 825,001 Insmed Inc 34.06 28,099,534.06 0.50 127,176 Inspire Medical Systems Inc 206.99 26,324,160.24 0.47 2,567,344 Intersect ENT Inc 20.88 53,606,142.72 0.96 4,443,288 JD Sports Fashion PLC 11.37 50,511,011.80 0.91 1,134,976 Jeol Ltd 39.65 44,999,274.20 0.81 5,094,822 JET2 PLC 17.48 89,060,790.00 1.60 296,100 Kinaxis Inc 116.70 34,555,602.75 0.62 327,998 KION Group AG 98.74 32,386,962.04 0.58 2,732,200 Kitanotatsujin Corp 5.75 15,718,323.78 0.28 1,093,500 Kobe Bussan Co Ltd 26.78 29,281,801.79 0.53 312,083 Koninklijke DSM NV 169.22 52,810,875.61 0.95 1,215,839 Kornit Digital Ltd 99.12 120,513,961.68 2.17 722,936 Lantheus Holdings Inc 21.37 15,449,142.32 0.28 1,684,026 Lectra 33.07 55,690,975.61 1.00 574,444 Legend Biotech Corp 29.02 16,670,364.88 0.30 43,252 Lonza Group AG 559.06 24,180,666.35 0.43 145,900 Madrigal Pharmaceuticals Inc 116.97 17,065,923.00 0.31 4,822,766 Max Stock Ltd 4.02 19,403,009.99 0.35 2,830,085 MaxCyte Inc 12.13 34,333,685.58 0.62 549,000 MedPeer Inc 59.07 32,426,823.21 0.58 11,028,815 Metso Outotec Oyj 11.15 122,932,835.32 2.21 1,901,545 Model N Inc 35.23 66,991,430.35 1.20 867,000 Morinaga & Co Ltd 35.72 30,968,480.42 0.56 511,275 Morinaga Milk Industry Co Ltd 52.56 26,873,971.55 0.48 1,066,940 MorphoSys AG 87.11 92,939,175.98 1.67 35,545 New Work SE 259.75 9,232,922.13 0.17 658,531 Nice Ltd 217.97 143,540,002.07 2.58 1,169,500 Notre Dame Intermedica Participacoes SA 14.73 17,224,654.26 0.31 206,700 OBIC Business Consultants Co Ltd 52.38 10,827,365.10 0.19 193,500 Obic Co Ltd 182.70 35,353,398.12 0.64 1,468,899 Oncopeptides AB 16.60 24,387,882.78 0.44 894,580 Orchard Therapeutics PLC 7.26 6,494,650.80 0.12 3,496,783 Orchard Therapeutics PLC 6.79 23,749,006.34 0.43 4,710,472 Ossur HF 6.91 32,562,834.02 0.59 1,754,556 Oxford Biomedica PLC 13.12 23,027,270.18 0.41 7,940,900 Petrobras Distribuidora SA 3.91 31,037,602.24 0.56 264,464 Protara Therapeutics Inc 15.74 4,162,663.36 0.07 2,240,346 Quotient Ltd 3.68 8,244,473.28 0.15 2,083,500 Raccoon Holdings Inc 24.42 50,880,867.00 0.91 2,176,964 Radware Ltd 26.08 56,775,221.12 1.02 208,276 Rami Levy Chain Stores Hashikma Marketing 2006 Ltd 64.94 13,525,386.50 0.24 74,888 Reata Pharmaceuticals Inc 99.70 7,466,333.60 0.13 Artisan International Small-Mid Fund Holdings

As of 31 March 2021

Portfolio Holdings Quantity Security Name/Description Price Book Total Market Value Book Pct Assets (%) 231,618 Revenio Group Oyj 59.34 13,743,892.50 0.25 466,000 Rohm Co Ltd 97.63 45,495,235.96 0.82 828,000 Roland Corp 36.08 29,874,554.07 0.54 19,434,015 PLC 4.92 95,539,320.19 1.72 6,371,950 Rumo SA 3.58 22,810,939.16 0.41 437,100 Sagami Rubber Industries Co Ltd 10.15 4,437,122.65 0.08 4,762,900 SG Holdings Co Ltd 22.91 109,130,524.26 1.96 59,209 Siegfried Holding AG 823.68 48,769,196.94 0.88 171,542 SimCorp A/S 123.83 21,242,461.03 0.38 3,184,317 SSP Group PLC 5.13 16,347,985.39 0.29 3,160,794 St James's Place PLC 17.56 55,514,175.56 1.00 325,591 STAAR Surgical Co 105.41 34,320,547.31 0.62 331,164 Symrise AG 121.26 40,156,012.77 0.72 96,197 Tecan Group AG 443.74 42,686,369.16 0.77 1,810,700 TechMatrix Corp 17.76 32,166,601.01 0.58 3,930,622 Tel Aviv Stock Exchange Ltd 6.18 24,290,823.02 0.44 350,100 Temairazu Inc 47.69 16,694,766.29 0.30 640,772 The Descartes Systems Group Inc 61.01 39,092,853.68 0.70 1,731,072 Toshiba Corp 33.78 58,471,070.49 1.05 6,915,462 PLC 6.33 43,759,480.64 0.79 379,400 Ubicom Holdings Inc 27.77 10,536,509.37 0.19 677,749 Vaisala Oyj 37.35 25,314,260.60 0.45 198,288 Vestas Wind Systems A/S 205.26 40,700,110.51 0.73 9,408,818 ViewRay Inc 4.35 40,928,358.30 0.74 697,193 WNS Holdings Ltd 72.44 50,504,660.92 0.91 345,159 XP Power Ltd 64.79 22,364,301.27 0.40 1,943,909 YouGov PLC 13.82 26,865,726.47 0.48 890,957 Zogenix Inc 19.52 17,391,480.64 0.31 Total Equity Securities 5,480,354,725.26 98.46

Total Portfolio Holdings 5,480,354,725.26 98.46 Other Assets Less Liabilities* 85,680,015.94 1.54 Total Net Assets $5,566,034,741.20 100.00%

*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 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. © 2021 Artisan Partners. All rights reserved.