American Beacon Quarterly Top 10s

Information as of 06/30/2015
Acadian Emerging Markets Managed Volatility Fund
Holding NamePercentage
BGF Retail Co., Ltd.1.1%
Steinhoff International Holdings Ltd.1.1%
Chunghwa Telecom Co. Ltd.1.0%
Dr Reddys Laboratories Ltd.1.0%
EOH Holdings Ltd.1.0%
Hengan International Group Co., Ltd.1.0%
HON HAI Precision Industry Co. Ltd.1.0%
Huishang Bank Corp., Ltd. H1.0%
Taiwan Cooperative Financial Holding Co., Ltd.1.0%
Telekomunikasi Indonesia Persero Tbk PT1.0%

Bahl & Gaynor Small Cap Growth Fund
Holding NamePercentage
MarketAxess Holdings, Inc.3.2%
Texas Roadhouse, Inc.3.0%
j2 Global, Inc.2.5%
PacWest Bancorp2.4%
Rollins, Inc.2.4%
Watsco, Inc.2.3%
Cantel Medical Corp.2.2%
Blackbaud, Inc.2.1%
Ritchie Bros Auctioneers, Inc.2.1%
STERIS Corp.2.1%

Balanced Fund
Holding NamePercentage
JPMorgan Chase & Co.2.4%
Citigroup, Inc.2.2%
Bank of America Corp.1.9%
General Motors Co.1.1%
Microsoft Corp.1.1%
Oracle Corp.1.1%
Toyota Motor Corp., Sponsored1.1%
Wells Fargo & Co.1.1%
Medtronic PLC1.0%
Sanofi1.0%

Bridgeway Large Cap Value Fund
Holding NamePercentage
Cigna Corp.2.3%
HCA Holdings, Inc.2.1%
Universal Health Services, Inc.1.8%
Rite Aid Corp.1.6%
Tesoro Corp.1.6%
Celanese Corp.1.5%
Northrop Grumman Corp.1.5%
Abbott Laboratories1.4%
Johnson & Johnson1.4%
Phillips 661.4%

Crescent Short Duration High Income Fund
Holding NamePercentage
JC Penney Corp, Inc. Term Loan, 6.000%, Due 5/22/20181.2%
Cablevision Systems Corp., 7.750%, Due 4/15/20181.1%
Cemex SAB de CV, 7.250%, Due 1/15/2021, 144A1.1%
CHS/Community Health Systems, Inc., 8.00%, Due 11/15/191.1%
Landry's Holdings II, Inc., 10.250%, Due 1/1/2018, 144A1.1%
Peninsula Gaming LLC / Peninsula Gaming Corp., 8.375%, Due 2/15/2018, 144A1.1%
Pinnacle Entertainment, Inc., 7.500%, Due 4/15/20211.1%
Reynolds Group Issuer Inc. / Reynolds Group Issuer LLC, 8.250%, Due 2/15/20211.1%
Station Casinos LLC, 7.500%, Due 3/1/211.1%
T-Mobile USA, Inc., 6.625%, Due 4/1/20231.1%

Earnest Partners Emerging Markets Equity Fund
Holding NamePercentage
CJ Corp.4.9%
Advanced Semiconductor Engineering, Inc.4.0%
Samsung Electronics Co. Ltd.3.8%
Cielo S.A.3.7%
Taiwan Semiconductor Manufacturing Co. Ltd.3.7%
Weichai Power Co., Ltd. H3.5%
China Shipping Container Lines Co., Ltd. H3.3%
Controladora Commercial Mexicana, S.A.B. de C.V.3.3%
Investec Ltd.3.2%
Jiangxi Copper Co., Ltd. H3.0%

Emerging Markets Fund
Holding NamePercentage
Samsung Electronics Co. Ltd.3.2%
China Construction Bank H1.7%
China Mobile Ltd.1.6%
KB Financial Group, Inc.1.5%
Petroleo Brasileiro S.A. Sponsored1.5%
Cemex, S.A.B. de C.V., Sponsored1.3%
Erste Group Bank AG1.3%
Gazprom OAO Sponsored1.3%
POSCO1.3%
Taiwan Semiconductor Manufacturing Co. Ltd.1.2%

Flexible Bond Fund
Holding NamePercentage
U.S. Treasury Floating Rate Note, 0.104%, Due 1/31/20174.8%
U.S. Treasury Note/Bond, 1.625%, Due 7/31/194.6%
U.S. Treasury Note/Bond, 2.500%, Due 5/15/244.6%
U.S. Treasury Note/Bond, 1.375%, Due 3/31/20202.6%
Mexican Bonos Desarrollo, 7.750%, Due 11/13/421.9%
Mexican Bonos, 8.50%, Due 5/31/291.3%
U.S. Treasury Note/Bond, 2.125%, Due 1/31/20211.3%
U.S. Treasury Note/Bond, 3.625%, Due 2/15/20211.3%
Brazil Government Bond, 10.000%, Due 1/1/231.2%
Goldman Sachs Group, Inc., 1.357%, Due 11/15/20181.2%

Global Evolution Frontier Markets Income Fund
Holding NamePercentage
Ivory Coast Government Bond, 5.750%, Due 12/31/323.9%
Mongolia Ministry of Finance (Issuer ING Bank NV), 13.175%, Due 3/25/20173.2%
Moz Ematum Finance, 6.305%, Due 9/11/20203.2%
Uruguay Government International Bond, Inflation Indexed, 5.000%, Due 9/14/20183.2%
Empresa Administradora de Aeropuertos Internacionales (Issuer Zambezi BV), 8.250%, Due 4/8/2024, 1443.1%
Federal Democratic Republic of Ethiopia, 6.625%, Due 12/11/20242.7%
Honduras Government Bond, 7.500%, Due 3/15/20242.7%
Republic of Malawi (Issuer Frontera Capital BV), 25.000%, Due 7/7/20172.7%
Dominican Republic, 16.950%, Due 2/4/20222.4%
Republic of Rwanda, 6.625%, Due 5/2/20232.4%

High Yield Bond Fund
Holding NamePercentage
iHeartCommunications, Inc., 9.000%, Due 3/1/210.8%
Cenveo Corp., 11.500%, Due 5/15/170.7%
Radio One, Inc., 9.250%, Due 2/15/20, 144A0.7%
ArcelorMittal, 6.000%, Due 3/1/210.6%
CSC Holdings LLC, 6.750%, Due 11/15/20210.6%
Dollar Tree, Inc., 5.750%, Due 3/1/2023, 144A0.6%
HD Supply, Inc., 7.500%, Due 7/15/20200.6%
Tenet Healthcare Corp., 8.125%, Due 4/1/220.6%
VPI Escrow Corp., 6.375%, Due 10/15/20, 144A0.6%
Caesars Entertainment Operating Co, Inc., 11.25%, Due 6/1/20170.5%

Holland Large Cap Growth Fund
Holding NamePercentage
Visa, Inc.4.6%
Apple, Inc.4.5%
Adobe Systems, Inc.3.5%
Amazon.com, Inc.3.5%
Citrix Systems, Inc.3.4%
Gilead Sciences, Inc.3.4%
Priceline.com, Inc.3.4%
Google, Inc., Class C3.3%
Qualcomm, Inc.3.3%
Cisco Systems, Inc.2.9%

Intermediate Bond Fund
Holding NamePercentage
Fannie Mae TBA, 4.000%, Due 8/13/451.7%
Fannie Mae TBA, 3.500%, Due 8/13/451.3%
Fannie Mae TBA, 4.500%, Due 7/14/451.3%
Fannie Mae Pool, 3.000%, Due 6/1/431.2%
Fannie Mae Pool, 4.00%, Due 12/1/400.9%
Fannie Mae Pool, 4.50%, Due 4/1/410.9%
Freddie Mac Gold Pool, 3.000%, Due 7/1/330.9%
Ginnie Mae REMIC Trust, 2.170%, Due 4/16/410.9%
Fannie Mae Pool, 3.000%, Due 8/1/430.8%
Freddie Mac Gold Pool, 3.50%, Due 6/1/420.8%

International Equity Fund
Holding NamePercentage
Novartis AG Reg2.7%
Lloyds Banking Group PLC2.3%
KDDI Corp.2.2%
Bayer AG Reg2.1%
British American Tobacco plc1.8%
Teva Pharmaceutical Industries Ltd. Sponsored1.7%
Akzo Nobel1.5%
BNP Paribas1.4%
Sumitomo Mitsui Financial Group, Inc.1.4%
Sanofi1.3%

International Equity Index Fund
Holding NamePercentage
Nestle S.A.1.8%
Novartis AG1.7%
Roche Holding Ltd.1.5%
Toyota Motor Corp.1.4%
HSBC Holdings PLC1.3%
BP PLC0.9%
Sanofi S.A.0.9%
Bayer AG0.9%
Royal Dutch Shell PLC0.8%
Commonwealth Bank of Australia0.8%

Large Cap Value Fund
Holding NamePercentage
JPMorgan Chase & Co.4.2%
Citigroup3.1%
Bank of America Corp.2.6%
Wells Fargo & Co.2.3%
Medtronic PLC1.9%
Oracle Corp.1.9%
Pfizer, Inc.1.9%
Microsoft Corp.1.8%
Verizon Communications, Inc.1.7%
Sanofi1.6%

Mid-Cap Value Fund
Holding NamePercentage
Cigna Corp.2.0%
Murphy Oil Corp.2.0%
Dana Holding Corp.1.9%
Stanley Black & Decker, Inc.1.8%
Delphi Automotive plc1.7%
Owens Corning1.6%
Pinnacle West Capital Corp.1.5%
Fifth Third Bancorp1.4%
KBR, Inc.1.4%
Royal Caribbean Cruises Ltd.1.4%

Retirement Income and Appreciation Fund
Holding NamePercentage
Ginnie Mae REMIC Trust, 3.200%, Due 11/16/442.8%
Freddie Mac Gold Pool, 3.50%, Due 6/1/421.9%
Ginnie Mae REMIC Trust, 2.170%, Due 4/16/411.8%
Fannie Mae TBA, 3.500%, Due 8/13/451.7%
Ginnie Mae REMIC Trust, 1.450%, Due 4/16/391.7%
Fannie Mae Pool, 5.00%, Due 1/1/411.4%
Fannie Mae Pool, 3.000%, Due 6/1/431.3%
National Credit Union Administration, 0.625%, Due 3/11/201.2%
Fannie Mae TBA, 4.500%, Due 7/14/451.1%
ING Bank N.V., 3.750%, Due 3/7/17, 144A1.1%

S&P 500 Index Fund
Holding NamePercentage
Apple, Inc.4.0%
Microsoft Corporation2.0%
Exxon Mobil Corporation1.9%
Johnson & Johnson1.5%
General Electric Company1.5%
Wells Fargo & Company1.4%
JPMorgan Chase & Co.1.4%
Berkshire Hathaway Inc. Class B1.4%
Procter & Gamble Company1.2%
Pfizer, Inc.1.1%

Short-Term Bond Fund
Holding NamePercentage
Citibank Credit Card Issuance Trust, 1.320%, Due 9/7/20183.1%
Verizon Communications, Inc., 1.350%, Due 6/9/20173.1%
Bank America Corp., 3.625%, Due 3/17/162.8%
National Credit Union Administration, 0.605%, Due 1/8/20202.4%
Deutsche Bank AG/London, 3.250%, Due 1/11/162.3%
National Credit Union Administration, 0.625%, Due 3/11/202.3%
Daimler Finance North America LLC, 3.000%, Due 3/28/16, 144A2.2%
JPMorgan Chase & Co., 3.450%, Due 3/1/162.2%
Wells Fargo & Company, 3.676%, Due 6/15/162.2%
Goldman Sachs Group, Inc., 3.625%, Due 2/7/20162.0%

SGA Global Growth Fund
Holding NamePercentage
Aon PLC3.9%
Visa, Inc.3.9%
AIA Group Ltd.3.8%
Amgen, Inc.3.8%
Lowe's Cos., Inc.3.8%
Novo Nordisk A.S.3.8%
SAP AG, Sponsored3.8%
Danone S.A.3.7%
Colgate-Palmolive Co.3.4%
State Street Corp.3.4%

SiM High Yield Opportunities Fund
Holding NamePercentage
CMA CGM S.A., 7.750%, Due 1/15/2021, 144A2.1%
ADS Tactical, Inc., 11.00%, Due 4/1/18, 144A2.0%
Virgin Media Finance PLC, 6.375%, Due 4/15/23, 144A2.0%
Live Nation Entertainment, Inc., 7.000%, Due 9/1/2020, 144A1.9%
Sensata Technologies BV, 4.875%, Due 10/15/23, 144A1.9%
Churchill Downs, Inc., 5.375%, Due 12/15/20211.8%
LifePoint Hospitals, Inc., 5.500%, Due 12/1/20211.8%
Tenet Healthcare Corp., 4.500%, Due 4/1/211.8%
Univision Communications, Inc., 6.75%, Due 9/15/22, 144A1.8%
Viking Cruises Ltd., 8.500%, Due 10/15/2022, 144A1.8%

Small Cap Index Fund
Holding NamePercentage
Team Health Holdings, Inc.0.2%
Cepheid0.2%
Investors Bancorp Inc.0.2%
Manhattan Associates, Inc.0.2%
MAXIMUS, Inc.0.2%
Tyler Technologies, Inc.0.2%
HealthSouth Corp.0.2%
Neurocrine Biosciences Inc.0.2%
Prosperity Bancshares, Inc.0.2%
West Pharmaceutical Services, Inc.0.2%

Small Cap Value Fund
Holding NamePercentage
First Horizon National Corp.1.1%
Con-way, Inc.1.0%
Mentor Graphics Corp.1.0%
Synovus Financial Corp.0.9%
Great Plains Energy, Inc.0.8%
LifePoint Hospitals, Inc.0.7%
Portland General Electric Co.0.7%
Vishay Intertechnology, Inc.0.7%
Webster Financial Corp.0.7%
WellCare Health Plans, Inc.0.7%

Stephens Mid-Cap Growth Fund
Holding NamePercentage
Illumina, Inc.2.1%
Fortinet, Inc.2.0%
Netflix, Inc.1.8%
Cerner Corp.1.7%
Monster Beverage Corp.1.7%
SVB Financial Group1.6%
CoStar Group, Inc.1.5%
MercadoLibre, Inc.1.5%
Ross Stores, Inc.1.5%
Stericycle, Inc.1.5%

Stephens Small Cap Growth Fund
Holding NamePercentage
Acadia Healthcare Co., Inc.1.8%
ICON PLC1.7%
Manhattan Associates, Inc.1.6%
Proofpoint, Inc.1.6%
Advisory Board Co.1.5%
Akorn, Inc.1.5%
Cepheid, Inc.1.5%
CoStar Group, Inc.1.5%
PAREXEL International Corp.1.5%
Tyler Technologies, Inc.1.5%

The London Company Income Equity Fund
Holding NamePercentage
Hasbro, Inc.4.7%
General Dynamics Corp.4.5%
Kinder Morgan, Inc.4.5%
General Electric Co.4.2%
Wells Fargo & Co.4.2%
Altria Group, Inc.3.7%
Eli Lilly & Co.3.6%
Reynolds American, Inc.3.6%
BlackRock, Inc.3.5%
Lowe's Cos., Inc.3.5%

Treasury Inflation Protected Securities Fund
Holding NamePercentage
U.S. Treasury Note, 0.125%, Due 1/15/2213.1%
U.S. Treasury Note, 0.125%, Due 4/15/1711.6%
U.S. Treasury Inflation Protected Secturities, 0.125%, Due 4/15/20198.5%
U.S. Treasury Inflation Protected Securities, 0.625%, Due 1/15/20247.5%
U.S. Treasury Note, 2.375%, Due 1/15/257.4%
U.S. Treasury Note, 0.625%, Due 7/15/216.6%
U.S. Treasury Note, 1.25%, Due 7/15/206.6%
U.S. Treasury Note, 0.125%, Due 7/15/225.8%
U.S. Treasury Inflation Protected Secturities, 0.125%, Due 4/15/20204.8%
U.S. Treasury, 0.375%, Due 7/15/20234.8%

Zebra Global Equity Fund
Holding NamePercentage
Exxon Mobil Corp.1.3%
Microsoft Corp.1.2%
Wells Fargo & Co.1.2%
Johnson & Johnson1.0%
JPMorgan Chase & Co.1.0%
Nestle S.A.1.0%
Roche Holding AG Genusschein1.0%
Wal-Mart Stores, Inc.1.0%
Chevron Corp.0.9%
Verizon Communications, Inc.0.9%

Zebra Small Cap Equity Fund
Holding NamePercentage
Seaboard Corp.2.3%
Credit Acceptance Corp.2.0%
Syntel, Inc.2.0%
PDL BioPharma, Inc.1.7%
West Corp.1.6%
Columbia Sportswear Co.1.4%
Enstar Group Ltd.1.4%
HSN, Inc.1.4%
Mentor Graphics Corp.1.4%
Intelsat S.A.1.2%

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