AMG Veritas Global Real Return Fund - Portfolio Holdings as of August 31, 2021

Ticker Name Sector Asset Class Country Currency Par/Shares Price ($) Market Value ($) % of Fund GOOGL Alphabet Inc, Class A Communication Services Stock US USD 5,658 2893.95 $16,373,969 9.63% CHTR Charter Communications Inc, Class A Communication Services Stock US USD 16,265 816.66 $13,282,975 7.81% BA/ BAE Systems PLC Industrials Stock GB GBP 1,073,259 7.81 $8,384,966 4.93% MSFT Microsoft Corp Information Technology Stock US USD 27,606 301.88 $8,333,699 4.90% DG Vinci SA Industrials Stock FR EUR 65,573 107.29 $7,035,425 4.14% UNH UnitedHealth Group Inc Health Care Stock US USD 16,513 416.27 $6,873,867 4.04% UNA PLC [UNA] Consumer Staples Stock GB EUR 122,983 55.67 $6,846,028 4.03% TMO Thermo Fisher Scientific Inc Health Care Stock US USD 12,027 554.95 $6,674,384 3.93% CP Canadian Pacific Railway Ltd Industrials Stock CA USD 95,890 68.79 $6,596,273 3.88% FB Facebook Inc, Class A Communication Services Stock US USD 17,177 379.38 $6,516,610 3.83% FISV Fiserv Inc Information Technology Stock US USD 54,521 117.79 $6,422,029 3.78% BAX Baxter International Inc Health Care Stock US USD 75,417 76.22 $5,748,284 3.38% CTLT Catalent Inc Health Care Stock US USD 43,919 130.44 $5,728,794 3.37% BDX Becton Dickinson and Co Health Care Stock US USD 22,739 251.70 $5,723,406 3.37% SHL Sonic Healthcare Ltd Health Care Stock AU AUD 171,538 31.66 $5,430,766 3.19% COO Cooper Cos Inc Health Care Stock US USD 11,453 450.71 $5,161,982 3.04% SAF SA Industrials Stock FR EUR 40,127 125.45 $5,033,754 2.96% AENA Aena SME SA 144A Industrials Stock ES EUR 31,146 159.87 $4,979,435 2.93% MCO Moody's Corp Financials Stock US USD 12,711 380.77 $4,839,967 2.85% MA MasterCard Inc, Class A Information Technology Stock US USD 13,758 346.23 $4,763,432 2.80% ICE Intercontinental Exchange Inc Financials Stock US USD 36,052 119.53 $4,309,296 2.53% AIR SE Industrials Stock FR EUR 28,767 136.80 $3,935,214 2.31% BABA Alibaba Group Holding Ltd ADR Consumer Discretionary Stock CN USD 22,442 166.99 $3,747,590 2.20% CVS CVS Health Corp Health Care Stock US USD 42,300 86.39 $3,654,297 2.15% CSGP CoStar Group Inc Industrials Stock US USD 37,210 84.74 $3,153,175 1.85% ILMN Illumina Inc Health Care Stock US USD 4,435 457.16 $2,027,505 1.19% FNV Franco-Nevada Corp Materials Stock CA USD 11,486 145.85 $1,675,233 0.99% Z U1 FTSE 100 Index Future Sep 2021 Futures Other GB GBP -70 9756.62 ($6,829,636) -4.02%

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 1 of 2 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 Veritas Global Real Return Fund - Portfolio Holdings as of August 31, 2021

Ticker Name Sector Asset Class Country Currency Par/Shares Price ($) Market Value ($) % of Fund VGU1 Eurex Future Sep 2021 Futures Other DE EUR -270 4937.31 ($13,330,727) -7.84% ESU1 CME E-Mini Standard & Poor's 500 Index Future Sep 2021 Futures Other US USD -365 4520.50 ($82,499,125) -48.53% Cash & Equivalents Cash Currency US USD 0 $109,409,927 64.36%

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 2 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.