FQ Global Risk-Balanced Fund

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Daily Pricing 03/27/2017
Z
NAV: $14.50
NAV $ Change: $0.00
NAV % Change: 0.00%
YTD Return (as of 02/28/2017)
- at NAV 4.24%

The performance shown represents past performance and is not a guarantee of future results. Current performance may be lower or higher than the performance data quoted. The investment return and the principal value of an investment will fluctuate so that an investor’s shares, when redeemed, may be worth more or less than their original cost. From time to time, the advisor has waived fees or reimbursed expenses, which may have resulted in higher returns. The listed returns and yields of the Fund are net of expenses, and the returns and yields of the indices exclude expenses.Unlike the Fund, the Index listed is unmanaged, is not available for investment and does not incur expenses. 

AMG Funds
Monthly Performance (as of 2/28/2017)
  Inception 1 Mo. 3 Mo. YTD 1 Year 3 Years 5 Years 10 Years Life of
Fund
NAV 11/18/1988 2.33 7.20 4.24 17.26 4.43 4.16 2.77 6.07
60% MSCI World Index & 40% Citigroup World Government Bond Index - Hedged
Index 2.11 4.33 2.58 12.03 5.35 7.19 3.63 —  
60% MSCI World Index & 40% Citigroup World Government Bond Index - Unhedged
Index 1.82 4.92 3.72 11.91 2.80 5.42 4.25 —  
S&P 500 Index
Index 3.97 8.04 5.94 24.98 10.63 14.01 7.62 —  
Quarterly Performance (as of 12/31/2016)
  Inception 1 Mo. 3 Mo. YTD 1 Year 3 Years 5 Years 10 Years Life of
Fund
NAV 11/18/1988 2.84 -1.94 14.31 14.31 4.50 4.20 2.35 5.94
60% MSCI World Index & 40% Citigroup World Government Bond Index - Hedged
Index 1.71 1.56 5.96 5.96 4.87 7.83 3.45 —  
60% MSCI World Index & 40% Citigroup World Government Bond Index - Unhedged
Index 1.17 -2.40 5.39 5.39 2.17 5.93 3.95 —  
S&P 500 Index
Index 1.98 3.82 11.96 11.96 8.87 14.66 6.95 —  

The performance shown represents past performance and is not a guarantee of future results. Current performance may be lower or higher than the performance data quoted. The investment return and the principal value of an investment will fluctuate so that an investor’s shares, when redeemed, may be worth more or less than their original cost. From time to time, the advisor has waived fees or reimbursed expenses, which may have resulted in higher returns. The listed returns and yields of the Fund are net of expenses, and the returns and yields of the indicies exclude expenses. Unlike the Fund, the Index listed is unmanaged, is not available for investment and does not incur expenses.

Expense Ratios
Gross Expense Ratio: 1.14 Net Expense Ratio: 1.11 Expense Cap Expiration Date: 3/1/2017
Calendar Year Returns
Year Z 60% MSCI World Index & 40% Citigroup World Government Bond Index - Hedged 60% MSCI World Index & 40% Citigroup World Government Bond Index - Unhedged S&P 500 Index
2016 14.31% 5.96% 5.39% 11.96%
2015 -5.88% 0.80% -1.66% 1.38%
2014 6.07% 7.97% 2.89% 13.69%
2013 -1.95% 15.15% 13.54% 32.39%
2012 9.80% 9.78% 10.14% 16.00%
2011 7.94% -2.22% -0.44% 2.11%
2010 12.09% 6.70% 9.46% 15.06%
2009 23.34% 14.39% 19.01% 26.46%
2008 -36.52% -37.00%
2007 8.38% 5.49%
2006 12.77% 15.79%
2005 7.36% 4.91%
2004 11.87% 10.88%
2003 22.78% 28.68%
2002 -12.98% -22.10%
2001 -10.30% -11.89%
2000 -6.60% -9.10%
1999 22.35% 21.04%
1998 10.01% 28.58%
1997 9.93% 33.36%
1996 13.97% 22.96%
1995 19.28% 37.58%
1994 -4.17% 1.32%
1993 19.60% 10.08%
Disclosure

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 download a free prospectus. Read it carefully before investing or sending money.

The performance information shown includes performance from when the Fund had multiple subadvisors, was managed with different investment strategies and investment policies and was called the "Managers Fremont Global Fund." The Fund's past performance would have been different if the Fund were managed solely by the current subadvisor using the current strategies and policics, and the Fund's prior performance record might be less pertinent for investors considering whether to purchase shares of the Fund.

Performance for periods longer than one year is annualized.

The Fund's investment manager has contractually agreed, through at least March 1, 2017, to limit Fund operating expenses. The net expense ratio reflects this limitation, while the gross expense ratio does not. Please refer to the Fund's prospectus for additional information on the Fund's expenses.

Risks

Investments in foreign securities, even though publicly traded in the United States, may involve risks which are in addition to those inherent in domestic investments. The use of leverage in a Fund's strategy can magnify relatively small market movements into relatively larger losses for the Fund. The Fund is subject to special risk considerations similar to those associated with the direct ownership of real estate. Real estate valuations may be subject to factors such as changing general and local economic, financial, competitive and environmental conditions. Because the Fund invests in exchange-traded funds (ETFs) which incur their own costs, investing in them could result in a higher cost to the investor. Additionally, the Fund will be indirectly exposed to all the risks of securities held by the ETFs. Obligations of certain government agencies are not backed by the full faith and credit of the U.S. Government. If one of these agencies defaulted on a loan, there is no guarantee that the U.S. Government will provide financial support. Additionally, debt securities of the U.S. Government may be affected by changing interest rates and subject to prepayment risk.

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