American Beacon Quarterly Top 10s

Information as of 03/31/2018
Acadian Emerging Markets Managed Volatility Fund
Holding NamePercentage
Nestle Malaysia Berhad1.8%
Chunghwa Telecom Co., Ltd.1.5%
Public Bank Berhad1.5%
Agricultural Bank of China Ltd.1.4%
CEZ A.S.1.4%
Hindustan Unilever Ltd.1.4%
Industrial & Commercial Bank of China Ltd.1.4%
LG Electronics, Inc.1.4%
Shanghai Commercial & Savings Bank Ltd.1.4%
Siam Cement PCL1.4%

Alpha Quant Core Fund
Holding NamePercentage
Mastercard, Inc.2.2%
Moody's Corp.2.2%
Boeing Co.2.0%
F5 Networks, Inc.2.0%
NetApp, Inc.2.0%
S&P Global, Inc.2.0%
VeriSign, Inc.2.0%
Avery Dennison Corp.1.9%
Intuit, Inc.1.9%
Visa, Inc.1.9%

Alpha Quant Dividend Fund
Holding NamePercentage
Public Service Enterprise Group, Inc.3.6%
Target Corp.3.6%
American Electric Power Co., Inc.3.5%
Cisco Systems, Inc.3.5%
Cummins, Inc.3.5%
Lockheed Martin Corp.3.5%
Air Products & Chemicals, Inc.3.4%
AT&T, Inc.3.4%
Southern Co.3.4%
Valero Energy Corp.3.4%

Alpha Quant Quality Fund
Holding NamePercentage
S&P Global, Inc.4.1%
Mastercard, Inc.3.7%
Intuit, Inc.3.6%
Boeing Co.3.5%
LyondellBasell Industries N.V.3.4%
Moody's Corp.3.4%
VeriSign, Inc.3.4%
Visa, Inc.3.4%
Altria Group, Inc.3.3%
Costco Wholesale Corporation3.3%

Alpha Quant Value Fund
Holding NamePercentage
NetApp, Inc.4.0%
Apple, Inc.3.7%
Centene Corp.3.7%
Cisco Systems, Inc.3.7%
HP, Inc.3.7%
Boeing Co.3.6%
F5 Networks, Inc.3.6%
Fluor Corp.3.6%
Western Digital Corp.3.6%
Humana, Inc.3.5%

ARK Transformational Innovation Fund

Bahl & Gaynor Small Cap Growth Fund
Holding NamePercentage
Cantel Medical Corp.3.4%
Monolithic Power Systems, Inc.3.4%
Pool Corp.2.9%
Texas Roadhouse, Inc.2.8%
PolyOne Corp.2.5%
RE/MAX Holdings, Inc.2.5%
Watsco, Inc.2.5%
Evercore, Inc.2.3%
MainSource Financial Group, Inc.2.3%
Calavo Growers, Inc.2.1%

Balanced Fund
Holding NamePercentage
Citigroup, Inc.2.4%
Bank of America Corp.2.3%
JPMorgan Chase & Co.2.0%
BP PLC1.9%
American International Group, Inc.1.7%
Microsoft Corp.1.5%
Wells Fargo & Co.1.5%
General Motors Co.1.3%
Oracle Corp.1.3%

Bridgeway Large Cap Growth Fund
Holding NamePercentage, Inc.2.2%
Boeing Co.2.1%
Align Technology, Inc.2.0%
Netflix, Inc.2.0%
Apple, Inc.1.9%
Applied Materials, Inc.1.9%
Lam Research Corp.1.9%
United Rentals, Inc.1.9%
Micron Technology, Inc.1.8%
NVIDIA Corp.1.8%

Bridgeway Large Cap Value Fund
Holding NamePercentage
Micron Technology, Inc.2.2%
Bank of America Corp.1.8%
Valero Energy Corp.1.8%
Intel Corp.1.7%
Marathon Petroleum Corp.1.7%
Walmart, Inc.1.6%
AT&T, Inc.1.5%
Best Buy Co., Inc.1.5%
Citigroup, Inc.1.5%
LyondellBasell Industries N.V.1.5%

Crescent Short Duration High Income Fund
Holding NamePercentage
Sprint Corp., 7.25%, Due 09/15/211.2%
Navient Corp., 5.875%, Due 03/25/211.1%
Standard Industries, Inc., 5.375%, Due 11/15/24, 144A0.9%
Hertz Corp., 5.875%, Due 10/15/200.8%
Valeant Pharmaceuticals International, Inc., 7%, Due 03/15/24, 144A0.8%
New Gold , Inc., 6.250%, Due 11/15/22, 144A0.8%
Dynegy, Inc., 7.375%, Due 11/01/220.8%
Sprint Communications, Inc., 6%, Due 11/15/220.7%
Infor Software Parent LLC , 7.125%, Due 05/01/21, 144A0.7%
Energizer Holdings, Inc., 5.5%, Due 06/15/25, 144A0.7%

Flexible Bond Fund
Holding NamePercentage
U.S. Treasury Note/Bond, 1.625%, Due 7/194.2%
U.S. Treasury Note/Bond, 1.828%, Due 7/192.9%
Federal National Mortgage Association, 3.500%, Due 5/482.2%
U.S. Treasury Note/Bond, 1.828%, Due 4/191.7%
Brazil, Nota Do Tesouro Nacional, 10.000%, Due 1/271.5%
Mexican Bonos Desarrollo, 7.750%, Due 11/421.4%
U.S. Treasury Note/Bond, 2.00%, Due 5/241.3%
Morgan Stanley, 3.025%, Due 4/181.2%
Mexican Bonos Desarrollo, 8.500%, Due 5/291.1%
U.S. Treasury Note/Bond, 2.00%, Due 8/251.1%

Garcia Hamilton Quality Bond Fund
Holding NamePercentage
Federal Home Loan Mortgage Corp., 1.531%, Due 07/05/197.9%
Federal Home Loan Bank, 1.911%, Due 06/12/195.8%
Apple, Inc., 2.089%, Due 05/06/193.8%
American Express Credit Corp., 2.727%, Due 03/18/193.5%
Morgan Stanley, 3.141%, Due 10/24/233.4%
Merck & Co., Inc., 2.185%, Due 02/10/203.3%
JPMorgan Chase & Co., 2.971%, Due 10/24/233.3%
Walt Disney Co., 2.415%, Due 03/04/223.0%
US Bank NA, 2.24%, Due 10/28/192.9%
Federal Farm Credit Banks, 1.87%, Due 11/13/182.9%

GLG Total Return Fund
Holding NamePercentage
U.S. Treasury Bills83.8%
Republic of Turkey Sr Unsecured, 6.750%, Due 04/184.4%
Banco Nac De Desen Econo Sr Unsecured, 6.369%, Due 06/181.7%
Republic of South Africa Sr Unsecured, 6.875%, Due 05/191.5%
Republic of South Africa Sr Unsecured, 5.500%, Due 03/201.1%
Petroleos Mexicano Company Guar, 6.000%, Due 03/200.8%
Indonesia Government International Bond, 11.625%, Due 03/190.8%
CNPC General Capital Ltd., 2.750%, Due 05/190.6%
ICICI Bank Ltd., 4.800%, Due 05/190.6%
Israel Electric Corp. Ltd., 5.625%, Due 06/180.6%

Global Evolution Frontier Markets Income Fund
Holding NamePercentage
Ivory Coast Government International Bond, 5.75%, Due 12/31/321.5%
Kenya Infrastructure Bond, 12.5%, Due 01/10/332.3%
Angolan Government International Bond, 9.5%, Due 11/12/252.2%
Bonos de la Nacion Argentina con Ajuste por CER, 3.75%, Due 02/08/192.0%
Nigeria Government Bond, 16.288%, Due 03/17/271.8%
Dominican Republic International Bond, 11.5%, Due 05/10/241.7%
Mongolia Government International Bond, 8.75%, Due 03/09/241.7%
Costa Rica Titulos de Propiedad, 9.66%, Due 09/30/261.5%
Republic of Cameroon International Bond, 9.5%, Due 11/19/251.4%

International Equity Fund
Holding NamePercentage
Royal Dutch Shell PLC2.6%
Novartis AG2.2%
British American Tobacco PLC2.0%
Prudential PLC1.9%
BP PLC1.6%
Barclays PLC1.5%
Samsung Electronics Co. Ltd.1.5%
KDDI Corp.1.3%
SAP SE1.3%
Volkswagen AG1.3%

Large Cap Value Fund
Holding NamePercentage
Citigroup, Inc.3.3%
JPMorgan Chase & Co.3.3%
Bank of America Corp.2.6%
Wells Fargo & Co.2.4%
BP PLC2.2%
American International Group, Inc.2.0%
Microsoft Corp.1.8%
Oracle Corp.1.7%
Medtronic PLC1.6%

Mid-Cap Value Fund
Holding NamePercentage
Fifth Third Bancorp1.8%
Murphy Oil Corp.1.8%
Pinnacle West Capital Corp.1.8%
Willis Towers Watson PLC1.8%
Cardinal Health, Inc.1.7%
Dover Corp.1.7%
MEDNAX, Inc.1.7%
Avnet, Inc.1.6%
FNF Group1.5%

Numeric Integrated Alpha Fund
Holding NamePercentage
Materials Select Sector SPDR Fund1.9%
Technology Select Sector SPDR Fund1.4%
Equinix Inc.1.3%
Transocean Ltd.1.3%
QTS Realty Trust, Inc.1.3%
Assured Guaranty Ltd.1.2%
Atkore International Group, Inc.1.2%
Ulta Beauty, Inc.1.2%
CoreSite Realty Corp.1.2%
Global Net Lease, Inc.1.2%

SGA Global Growth Fund
Holding NamePercentage
AIA Group Ltd.4.0%
Visa, Inc.3.8%
SAP SE3.7%, Inc.3.3%
Autodesk, Inc.3.2%
Novo Nordisk A.S.3.2%
Equinix Inc.3.0%
HDFC Bank Ltd.3.0%
Nike, Inc.3.0%
Regeneron Pharmaceuticals, Inc.2.9%

SiM High Yield Opportunities Fund
Holding NamePercentage
MEG Energy Corp., 7.000%, Due 3/31/24, 144A2.1%
California Resources CRP., 8.000%, Due 12/15/22, 144A2.0%
Hellenic Republic, 3.000%, Due 02/24/231.9%
Qorvo, Inc., 7.000%, Due 12/1/251.8%
JBS USA LUX S.A. / JBS USA Finance, Inc., 5.875%, Due 7/15/241.7%
MEDNAX, Inc., 5.250%, Due 12/1/231.7%
The Mens Wearhouse Inc., 7.000%, Due 07/01/221.7%
Gartner, Inc., 5.125%, Due 4/1/25, 144A1.6%
Kissner Hld/Mil/BSC SR., 8.375%, Due 12/01/22, 144A1.6%
CVR Partners LP / CVR Nitrogen Finance Corp., 9.250%, Due 6/15/23, 144A1.6%

Small Cap Value Fund
Holding NamePercentage
Vishay Intertechnology, Inc.0.9%
Callon Petroleum Co.0.8%
Texas Capital Bancshares, Inc.0.8%
ARRIS International PLC0.7%
Associated Banc-Corp.0.7%
Brooks Automation, Inc.0.7%
II-VI, Inc.0.7%
UMB Financial Corp.0.7%
Enstar Group Ltd.0.6%
Whiting Petroleum Corp.0.6%

Sound Point Floating Rate Income Fund
Holding NamePercentage
EG Finco Ltd., Due 01/19/251.0%
GrafTech Finance, Inc., Due 02/12/250.9%
Avantor, Inc., Due 11/21/240.9%
HLF Financing S.a r.l., Due 02/15/230.8%
Global Eagle Entertainment, Inc., Due 01/06/230.8%
Securus Technologies Holdings, Inc., Due 11/01/240.8%
Jane Street Group, LLC, Due 08/25/220.7%
McAfee, LLC, Due 09/30/240.7%
Global Tel*Link Corp., Due 05/23/200.7%
Leslie's Poolmart, Inc., Due 08/16/230.7%

Stephens Mid-Cap Growth Fund
Holding NamePercentage
CoStar Group, Inc.1.9%
Idexx Laboratories, Inc.1.9%
SVB Financial Group1.9%
Flir Systems, Inc.1.7%
Burlington Stores, Inc.1.6%
MarketAxess Holdings, Inc.1.6%
MercadoLibre, Inc.1.6%
Microchip Technology, Inc.1.6%
Monster Beverage Corp.1.6%
Verisk Analytics, Inc.1.6%

Stephens Small Cap Growth Fund
Holding NamePercentage
ICON plc1.8%
Proto Labs, Inc.1.8%
Calavo Growers, Inc.1.7%
Ligand Pharmaceuticals, Inc.1.7%
Proofpoint, Inc.1.7%
CoStar Group, Inc.1.6%
Aaron's, Inc.1.4%
Guidewire Software, Inc.1.4%
Microsemi Corp.1.4%
Neogen Corp.1.4%

The London Company Income Equity Fund
Holding NamePercentage
General Dynamics Corp.5.9%
Norfolk Southern Corp.5.0%
Carnival Corp.4.8%
BlackRock, Inc.4.7%
Apple, Inc.4.6%
Wells Fargo & Co.4.6%
Microsoft Corp.4.3%
Intel Corp.4.0%
Cisco Systems, Inc.3.9%
Target Corp.3.7%

Zebra Small Cap Equity Fund
Holding NamePercentage
Columbia Sportswear Co.1.7%
Enstar Group Ltd.1.7%
Deluxe Corp.1.5%
j2 Global, Inc.1.2%
Kronos Worldwide, Inc.1.2%
AVX Corp.1.1%
International Bancshares Corp.1.1%
Ryman Hospitality Properties, Inc.1.1%
Sanmina Corp.1.1%
Syntel, Inc.1.1%

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