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Fund Holdings As of 06/30/2021 MassMutual Global Fund Invesco Prior to 5/1/2021, the Fund name was MassMutual Premier Global Fund.

Fund Shares or Par Position Market Security Name Ticker ISIN Weighting (%) Amount Value ($) Alphabet Inc Class A GOOGL US02079K3059 10.47 15,924 38,883,064 Facebook Inc Class A FB US30303M1027 5.20 55,556 19,317,377 LVMH Moet SE MC FR0000121014 4.96 23,439 18,403,527 Inc INTU US4612021034 4.95 37,526 18,394,119 S&P Global Inc SPGI US78409V1044 4.55 41,176 16,900,689 Adobe Inc ADBE US00724F1012 4.43 28,098 16,455,313 JD.com Inc ADR JD US47215P1066 3.70 172,035 13,730,113 Corp 6594 JP3734800000 3.23 103,400 11,975,819 SA KER FR0000121485 3.09 13,116 11,477,426 Maxim Integrated Products Inc MXIM US57772K1016 2.99 105,462 11,111,476 SE AIR NL0000235190 2.94 84,786 10,918,784 PayPal Holdings Inc PYPL US70450Y1038 2.76 35,131 10,239,984 SAP SE SAP DE0007164600 2.48 65,162 9,194,192 Corp 6861 JP3236200006 2.42 17,800 8,979,099 Murata Manufacturing Co Ltd 6981 JP3914400001 2.41 117,230 8,945,828 United Parcel Service Inc Class B UPS US9113121068 2.21 39,440 8,202,337 Agilent Technologies Inc A US00846U1016 2.00 50,309 7,436,173 DLF Ltd 532868 INE271C01023 1.95 1,906,354 7,221,929 The Walt Disney Co DIS US2546871060 1.86 39,220 6,893,699 Equifax Inc EFX US2944291051 1.83 28,394 6,800,647 Atlas Copco AB A ATCO A SE0011166610 1.79 108,356 6,638,116 Avantor Inc AVTR US05352A1007 1.52 159,170 5,652,127 ICICI Bank Ltd ADR IBN US45104G1040 1.49 322,567 5,515,896 TDK Corp 6762 JP3538800008 1.41 43,100 5,236,523 Assa Abloy AB B ASSA B SE0007100581 1.41 173,457 5,226,069 Farfetch Ltd Class A FTCH KY30744W1070 1.35 99,507 5,011,173 Corp 6645 JP3197800000 1.30 60,900 4,826,911 Fidelity Information Services Inc FIS US31620M1062 1.21 31,684 4,488,672 Industria De Diseno Textil SA ITX ES0148396007 1.15 120,886 4,259,637 Visa Inc Class A V US92826C8394 1.14 18,176 4,249,912 Prudential PLC PRU GB0007099541 1.07 209,355 3,972,269 Fanuc Corp 6954 JP3802400006 1.06 16,300 3,929,120 Corp MSFT US5949181045 0.97 13,254 3,590,509 .com Inc AMZN US0231351067 0.92 996 3,426,399 StoneCo Ltd Class A STNE KYG851581069 0.84 46,419 3,112,858 Illumina Inc ILMN US4523271090 0.77 6,061 2,868,126 Inc EA US2855121099 0.75 19,331 2,780,378 ASML Holding NV ASML NL0010273215 0.64 3,443 2,370,510 IQVIA Holdings Inc IQV US46266C1053 0.63 9,657 2,340,084 Fixed Inc Clearing Corp.Repo 0 0 0.62 2,295,051 2,295,051 Pegasystems Inc PEGA US7055731035 0.60 16,009 2,228,293 Boston Scientific Corp BSX US1011371077 0.52 45,398 1,941,218 Charles River Laboratories International Inc CRL US1598641074 0.51 5,106 1,888,812 Capcom Co Ltd 9697 JP3218900003 0.51 64,500 1,887,476 Veracyte Inc VCYT US92337F1075 0.48 44,912 1,795,582 Zur Rose Group AG ROSE CH0042615283 0.48 4,684 1,795,097 Lonza Group Ltd LONN CH0013841017 0.47 2,446 1,733,952 Inc ISRG US46120E6023 0.46 1,855 1,705,932 Meituan Class B Common Stock Usd.00001 0 0 0.42 37,500 1,548,809 Takeda Pharmaceutical Co Ltd 4502 JP3463000004 0.40 44,208 1,484,728 Brunello Cucinelli SpA BC IT0004764699 0.33 20,949 1,227,632 Ambu A/S Class B AMBU B DK0060946788 0.33 31,529 1,211,764 Dassault Systemes SE DSY FR0014003TT8 0.32 4,833 1,172,485 Phathom Pharmaceuticals Inc Ordinary shares PHAT US71722W1071 0.28 30,441 1,030,428 uniQure NV QURE NL0010696654 0.23 27,960 861,168 Castle Biosciences Inc CSTL US14843C1053 0.22 11,022 808,243 Inc ADI US0326541051 0.22 4,673 804,504 Fund Shares or Par Position Market Security Name Ticker ISIN Weighting (%) Amount Value ($) Fate Therapeutics Inc FATE US31189P1021 0.19 8,039 697,705 Qualtrics International Inc XM US7476012015 0.17 16,492 630,819 Dun & Bradstreet Holdings Inc Ordinary Shares DNB US26484T1060 0.16 27,178 580,794 Inc Class A MAR US5719032022 0.12 3,389 462,666 Twist Bioscience Corp TWST US90184D1000 0.06 1,577 210,135 Ascendis Pharma A/S ADR ASND US04351P1012 0.05 1,407 185,091 Jpy 0 0 0.03 95,886 95,886 Inr 0 0 0.01 29,029 29,029 Zee Entertainment Enterp Preferred Stock 03/22 6 0 0 0.00 573,050 15,342

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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