Artisan International Small-Mid Fund Holdings

As of 31 March 2019

Portfolio Holdings Quantity Security Name/Description Price Book Total Market Value Book Pct Assets (%) 280,808 Abcam PLC 14.78 4,151,130.61 0.61 140,556 AC Immune SA 5.05 709,807.80 0.10 263,608 ACADIA Pharmaceuticals Inc 26.85 7,077,874.80 1.04 481,859 AIXTRON SE 8.99 4,330,688.97 0.64 340,990 Almirall SA 17.05 5,814,084.09 0.86 192,335 Altus Group Ltd 19.51 3,752,140.88 0.55 76,239 Amarin Corp PLC 20.76 1,582,721.64 0.23 43,061 Argenx SE 123.39 5,313,404.45 0.78 78,252 Ariake Japan Co Ltd 53.42 4,179,841.56 0.62 9,185 Ascendis Pharma A/S 117.70 1,081,074.50 0.16 98,697 ASOS PLC 41.68 4,113,533.05 0.61 315,158 Lagonda Global Holdings PLC 13.15 4,145,823.13 0.61 793,428 Auto Trader Group PLC 6.79 5,390,215.98 0.79 200,644 AVEVA Group PLC 42.02 8,430,466.39 1.24 485,900 Azbil Corp 23.36 11,350,673.11 1.67 1,828,527 B&M European Value Retail SA 4.87 8,897,526.81 1.31 53,036 Baloise Holding AG 165.20 8,761,659.06 1.29 20,839 Basler AG 168.26 3,506,422.26 0.52 353,326 Beijer Ref AB 16.08 5,681,459.87 0.84 1,900 Belimo Holding AG 4,996.23 9,492,844.57 1.40 396,210 Biotage AB 12.73 5,045,686.82 0.74 1,083,900 BK Brasil Operacao e Assessoria a Restaurantes SA 5.64 6,112,483.43 0.90 491,000 BlackBerry Ltd 10.08 4,949,130.07 0.73 122,778 Blue Prism Group PLC 21.59 2,651,344.38 0.39 2,243,662 boohoo Group PLC 2.46 5,523,066.83 0.81 371,236 Boozt AB 7.21 2,675,272.61 0.39 829,048 PLC 12.41 10,285,033.80 1.51 18,105 Burckhardt Compression Holding AG 272.16 4,927,396.45 0.73 392,677 CAE Inc 22.16 8,700,689.16 1.28 79,969 Carl Zeiss Meditec AG 83.51 6,678,554.04 0.98 58,046 Carlsberg A/S 124.89 7,249,426.81 1.07 217,788 Cellavision AB 30.01 6,535,537.43 0.96 117,031 Cellnex Telecom SA 29.34 3,434,272.36 0.51 89,604 Cognex Corp 50.86 4,557,259.44 0.67 2,769,418 ConvaTec Group PLC 1.84 5,105,748.82 0.75 219,716 Cree Inc 57.22 12,572,149.52 1.85 1,083,070 Davide Campari-Milano SpA 9.82 10,630,670.51 1.57 1,114,370 PLC 7.32 8,154,028.18 1.20 392,738 Elekta AB 12.43 4,883,193.27 0.72 202,384 Fluidigm Corp 13.29 2,689,683.36 0.40 114,748 Fortnox AB 10.11 1,160,155.31 0.17 172,176 Fuji Soft Inc 39.52 6,804,393.02 1.00 5,952 Galapagos NV 116.55 693,704.57 0.10 285,168 Gardner Denver Holdings Inc 27.81 7,930,522.08 1.17 32,970 Genmab A/S 173.54 5,721,722.23 0.84 53,780 Gerresheimer AG 75.16 4,041,956.92 0.60 117,855 Grupo Catalana Occidente SA 35.67 4,204,082.31 0.62 117,570 H Lundbeck A/S 43.27 5,087,622.08 0.75 108,100 Harmonic Drive Systems Inc 34.20 3,696,643.50 0.54 401,319 PLC 13.35 5,357,653.79 0.79 1,153,247 Howden Joinery Group PLC 6.32 7,289,431.99 1.07 18,374 Hypoport AG 200.79 3,689,375.16 0.54 104,855 IMCD NV 76.11 7,980,591.39 1.18 Artisan International Small-Mid Fund Holdings

As of 31 March 2019

Portfolio Holdings Quantity Security Name/Description Price Book Total Market Value Book Pct Assets (%) 447,037 IMI PLC 12.48 5,577,891.21 0.82 40,648 InflaRx NV 37.79 1,536,087.92 0.23 175,068 Intersect ENT Inc 32.15 5,628,436.20 0.83 16,064 IPG Photonics Corp 151.78 2,438,193.92 0.36 58,240 JCR Pharmaceuticals Co Ltd 58.83 3,426,191.45 0.50 770,403 JD Sports Fashion PLC 6.55 5,043,145.63 0.74 227,256 Jenoptik AG 37.24 8,463,490.70 1.25 390,376 Jeol Ltd 17.97 7,016,412.43 1.03 569,066 Joules Group PLC 3.75 2,134,598.42 0.31 147,150 Kobe Bussan Co Ltd 37.90 5,576,378.24 0.82 100,636 Koninklijke DSM NV 108.99 10,968,240.14 1.62 128,541 Lectra 24.17 3,107,313.16 0.46 55,562 LivaNova PLC 97.25 5,403,404.50 0.80 24,780 Lonza Group AG 310.12 7,684,724.05 1.13 26,825 Mellanox Technologies Ltd 118.36 3,175,007.00 0.47 88,410 Metro Bank PLC 9.87 872,834.00 0.13 258,657 Metso OYJ 34.39 8,895,952.71 1.31 259,571 MIPS AB 14.46 3,752,309.02 0.55 446,901 Moneysupermarket.com Group PLC 4.85 2,165,868.35 0.32 75,400 MonotaRO Co Ltd 22.21 1,674,270.50 0.25 151,500 Morinaga & Co Ltd 43.35 6,568,235.12 0.97 318,500 Morneau Shepell Inc 20.51 6,532,783.32 0.96 38,414 MorphoSys AG 91.03 3,496,826.89 0.52 176,731 NanoString Technologies Inc 23.93 4,229,172.83 0.62 153,435 Nice Ltd 122.51 18,797,321.85 2.77 79,500 Nippon Shinyaku Co Ltd 72.72 5,781,557.34 0.85 476,800 Notre Dame Intermedica Participacoes SA 8.34 3,978,458.12 0.59 41,600 NuFlare Technology Inc 55.40 2,304,646.75 0.34 173,300 OBIC Business Consultants Co Ltd 41.01 7,106,816.75 1.05 119,900 Obic Co Ltd 100.69 12,073,301.44 1.78 1,277,737 Ossur HF 5.00 6,393,100.64 0.94 203,241 Oxford Biomedica PLC 9.29 1,887,391.16 0.28 23,989 Panalpina Welttransport Holding AG 166.51 3,994,352.21 0.59 291,396 Quotient Ltd 9.01 2,625,477.96 0.39 194,990 Radware Ltd 26.13 5,095,088.70 0.75 291,400 Rakus Co Ltd 18.21 5,305,830.57 0.78 110,800 Rohm Co Ltd 62.26 6,898,132.27 1.02 173,800 Rohto Pharmaceutical Co Ltd 25.64 4,456,731.93 0.66 855,501 PLC 3.68 3,151,091.31 0.46 1,228,250 Rumo SA 4.86 5,966,596.86 0.88 168,300 Sagami Rubber Industries Co Ltd 17.98 3,026,454.01 0.45 115,886 Salvatore Ferragamo SpA 21.45 2,485,506.70 0.37 171,100 SCSK Corp 44.53 7,618,681.77 1.12 488,300 SG Holdings Co Ltd 29.10 14,208,855.90 2.09 62,174 SimCorp A/S 96.54 6,002,162.90 0.88 156,419 SolarEdge Technologies Inc 37.68 5,893,867.92 0.87 47,134 Spirax-Sarco Engineering PLC 93.65 4,413,917.87 0.65 1,114,166 SSP Group PLC 9.02 10,046,280.40 1.48 368,500 St James's Place PLC 13.39 4,933,915.05 0.73 85,466 Symrise AG 90.10 7,700,397.73 1.13 67,349 Tecan Group AG 235.80 15,881,039.66 2.34 456,153 Tech Mahindra Ltd 11.20 5,109,045.29 0.75 491,566 Teva Pharmaceutical Industries Ltd 15.68 7,707,754.88 1.14 Artisan International Small-Mid Fund Holdings

As of 31 March 2019

Portfolio Holdings Quantity Security Name/Description Price Book Total Market Value Book Pct Assets (%) 126,900 The Descartes Systems Group Inc 36.35 4,613,164.25 0.68 306,064 Thule Group AB 22.59 6,913,129.62 1.02 681,300 Treasury Wine Estates Ltd 10.60 7,222,492.99 1.06 173,106 Vericel Corp 17.51 3,031,086.06 0.45 35,165 Vestas Wind Systems A/S 84.14 2,958,860.47 0.44 534,554 ViewRay Inc 7.39 3,950,354.06 0.58 226,801 Wartsila OYJ Abp 16.14 3,659,745.75 0.54 22,582 XING SE 346.06 7,814,724.09 1.15 183,200 Yamaha Corp 49.90 9,140,990.67 1.35 333,600 Yokogawa Electric Corp 20.67 6,895,945.16 1.02 774,254 YouGov PLC 6.22 4,815,239.56 0.71 Total Equity Securities 662,009,151.50 97.51

Total Portfolio Holdings 662,009,151.50 97.51 Other Assets Less Liabilities* 16,888,373.39 2.49 Total Net Assets $678,897,524.89 100.00%

*Other Assets Less Liabilities include Cash, Cash Equivalents and/or Currency Derivatives, which may include unrealized gains/losses from foreign exchange contracts. 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.