0001145549-21-071985.txt : 20211129 0001145549-21-071985.hdr.sgml : 20211129 20211129115748 ACCESSION NUMBER: 0001145549-21-071985 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20210930 FILED AS OF DATE: 20211129 PERIOD START: 20211231 FILER: COMPANY DATA: COMPANY CONFORMED NAME: DRIEHAUS MUTUAL FUNDS CENTRAL INDEX KEY: 0001016073 IRS NUMBER: 000000000 STATE OF INCORPORATION: DE FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-07655 FILM NUMBER: 211454308 BUSINESS ADDRESS: STREET 1: 25 EAST ERIE ST STREET 2: 25 EAST ERIE STREET CITY: CHICAGO STATE: IL ZIP: 60611 BUSINESS PHONE: 3125873800 0001016073 S000042829 Driehaus Micro Cap Growth Fund C000132648 Driehaus Micro Cap Growth Fund DMCRX NPORT-P 1 primary_doc.xml NPORT-P false 0001016073 XXXXXXXX S000042829 C000132648 Driehaus Mutual Funds 811-07655 0001016073 25490065PZVMACERQ816 25 EAST ERIE STREET CHICAGO 60611 312 587 3800 Driehaus Micro Cap Growth Fund S000042829 25490094BBGBJLBUT068 2021-12-31 2021-09-30 N 373921408.080000000000 521418.680000000000 373399989.400000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 N Embraer S.A. 549300EM51WYXFHUY333 Embraer S.A. SPON ADS EACH REP 4 ORD SHS 29082A107 279602 NS USD 4753234 1.2729604004 Long EC CORP BR N 1 N N N Grid Dynamics Holdings Inc N/A Grid Dynamics Holdings Inc CL A 39813G109 287885 NS USD 8411999.7 2.2528119815 Long EC CORP US N 1 N N N Shyft Group Inc 549300YY0TB51BGRV994 Shyft Group Inc COM 825698103 103940 NS USD 3950759.4 1.0580502175 Long EC CORP US N 1 N N N The Duckhorn Portfolio Inc N/A The Duckhorn Portfolio Inc COM 26414D106 100655 NS USD 2303992.95 0.6170308022 Long EC CORP US N 1 N N N Day One Biopharmaceuticals Inc N/A Day One Biopharmaceuticals Inc COM 23954D109 63534 NS USD 1507661.82 0.4037658979 Long EC CORP US N 1 N N N Centessa Pharmaceuticals plc 213800GIDAARDSKOI827 Centessa Pharmaceuticals plc SPONSORED ADS 152309100 77847 NS USD 1300044.9 0.3481641502 Long EC CORP GB N 1 N N N Voxx International Corporation EC1QKSEOVR96PYJPNS25 Voxx International Corporation CLASS'A'COM USD0.01 91829F104 84449 NS USD 966941.05 0.2589558322 Long EC CORP US N 1 N N N Apellis Pharmaceuticals Inc 254900HS0ZFRXXSB9D42 Apellis Pharmaceuticals Inc COM USD0.0001 03753U106 40621 NS USD 1338868.16 0.3585613814 Long EC CORP US N 1 N N N Goosehead Ins Inc 549300WH5MBIWHJ9XY95 Goosehead Ins Inc COM USD0.01 CLASS A 38267D109 21454 NS USD 3267229.66 0.8749945776 Long EC CORP US N 1 N N N Castle Biosciences Inc N/A Castle Biosciences Inc COM USD0.001 14843C105 52740 NS USD 3507210 0.9392635510 Long EC CORP US N 1 N N N Kura Sushi Usa Incorporation N/A Kura Sushi Usa Incorporation COM USD0.001 CL A 501270102 34438 NS USD 1504251.84 0.4028526735 Long EC CORP US N 1 N N N Springworks Therapeutics Inc N/A Springworks Therapeutics Inc COM USD0.0001 85205L107 82040 NS USD 5204617.6 1.3938451387 Long EC CORP US N 1 N N N Sun Country Airlines Holdings Inc N/A Sun Country Airlines Holdings Inc COM 866683105 66514 NS USD 2230879.56 0.5974503544 Long EC CORP US N 1 N N N VectivBio Holding AG N/A VectivBio Holding AG COM CHF0.05 H9060V101 66592 NS USD 514423.2 0.1377673312 Long EC CORP CH N 1 N N N Biomea Fusion Inc N/A Biomea Fusion Inc COM 09077A106 64128 NS USD 767612.16 0.2055736962 Long EC CORP US N 1 N N N Children's Place Inc 549300BGVK2OO5O7TC19 Children's Place Inc COM USD0.10 168905107 26171 NS USD 1969629.46 0.5274851408 Long EC CORP US N 1 N N N Alphatec Hldgs Inc 549300EZE8CQ8K65FS24 Alphatec Hldgs Inc COM USD0.0001 02081G201 228818 NS USD 2789291.42 0.7469982590 Long EC CORP US N 1 N N N Merus B V 549300W8GPUWU8QNU293 Merus B V EUR0.09 N5749R100 79959 NS USD 1759098 0.4711028522 Long EC CORP NL N 1 N N N Ranpak Holdings Corp 5493000Z9EZR9DCYOO86 Ranpak Holdings Corp COM USD0.0001 CLASS A 75321W103 102313 NS USD 2744034.66 0.7348780766 Long EC CORP US N 1 N N N Phreesia Inc 5493000HHF8NU4QOCG53 Phreesia Inc COM USD0.01 71944F106 55220 NS USD 3407074 0.9124461962 Long EC CORP US N 1 N N N Bellring Brands Inc N/A Bellring Brands Inc COM CL A 079823100 87382 NS USD 2686996.5 0.7196027253 Long EC CORP US N 1 N N N Sitime Corporation N/A Sitime 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Long EC CORP US N 1 N N N Montrose Environmental Group Inc N/A Montrose Environmental Group Inc COM 615111101 87704 NS USD 5414844.96 1.4501459865 Long EC CORP US N 1 N N N Aemetis Inc 254900DQF4U5U9W7AR72 Aemetis Inc COM NEW 00770K202 141010 NS USD 2577662.8 0.6903221406 Long EC CORP US N 1 N N N Aspen Aerogels Inc N/A Aspen Aerogels Inc COM USD0.00001 04523Y105 139567 NS USD 6421477.67 1.7197316155 Long EC CORP US N 1 N N N Impinj Inc 549300M26VGKSMMWWN17 Impinj Inc COM USD0.001 453204109 96927 NS USD 5537439.51 1.4829779505 Long EC CORP US N 1 N N N Boot Barn Holdings Inc 529900QE1BFMYA3N4E71 Boot Barn Holdings Inc COM USD0.0001 099406100 83823 NS USD 7449350.01 1.9950054155 Long EC CORP US N 1 N N N Nv5 Global In N/A Nv5 Global In COM USD0.01 62945V109 24223 NS USD 2387661.11 0.6394379158 Long EC CORP US N 1 N N N Live Oak Bancshares Inc N/A Live Oak Bancshares Inc COM NPV 53803X105 65270 NS USD 4153130.1 1.1122469785 Long EC CORP US N 1 N N N Motorsport Games Inc N/A Motorsport Games Inc COM CL A 62011B102 40773 NS USD 581422.98 0.1557104972 Long EC CORP US N 1 N N N Agrify Corporation N/A Agrify Corporation COM 00853E107 92778 NS USD 1720104.12 0.4606599274 Long EC CORP US N 1 N N N Golden Entertainment Inc 549300P8YYCKQVJ0Y638 Golden Entertainment Inc COM USD0.01 381013101 40226 NS USD 1974694.34 0.5288415630 Long EC CORP US N 1 N N N Crinetics Pharmaceuticals Inc 549300Q1CNFXK5P31D28 Crinetics Pharmaceuticals Inc COM USD0.001 22663K107 196319 NS USD 4132514.95 1.1067260491 Long EC CORP US N 1 N N N Stem Inc N/A Stem Inc COM 85859N102 56150 NS USD 1341423.5 0.3592457252 Long EC CORP US N 1 N N N The Beauty Health Company 5493001Z2JZQT4C63C50 The Beauty Health Company COM CL A 88331L108 220097 NS USD 5715919.09 1.5307764468 Long EC CORP US N 1 N N N Endava Plc 213800JJ6CRPCWCQVZ25 Endava Plc SPON ADS EACH REP 1 ORD SHS CL A 29260V105 35267 NS USD 4791021.95 1.2830803658 Long EC CORP GB N 1 N N N Iveric Bio Inc 549300GZXI59U71XPM70 Iveric Bio Inc COM 46583P102 115445 NS USD 1874826.8 0.5020961042 Long EC CORP US N 1 N N N Elevation Oncology Inc N/A Elevation Oncology Inc COM 28623U101 47351 NS USD 368864.29 0.0987852974 Long EC CORP US N 1 N N N Celldex Therapeuti 529900F018DMYWH38923 Celldex Therapeuti COM USD0.001(POST REV SPLIT) 15117B202 81140 NS USD 4380748.6 1.1732053359 Long EC CORP US N 1 N N N Cambium Networks Corporation 549300OYSIGK6OT5WL04 Cambium Networks Corporation COM USD0.0001 G17766109 82650 NS USD 2991103.5 0.8010454164 Long EC CORP KY N 1 N N N Maxcyte Inc 54930053YHXULRFCU991 Maxcyte Inc COM 57777K106 118730 NS USD 1449693.3 0.3882413876 Long EC CORP US N 1 N N N Sovos Brands Inc N/A Sovos Brands Inc COM 84612U107 210402 NS USD 2935107.9 0.7860492724 Long EC CORP US N 1 N N N Abercrombie & Fitch Co 5493000J7LL72TOGT983 Abercrombie & Fitch Co CL'A'COM USD0.01 002896207 60570 NS USD 2279249.1 0.6104041684 Long EC CORP US N 1 N N N Carparts Com Inc 5493005FSRX4Y7E7H678 Carparts Com Inc COM 14427M107 94694 NS USD 1478173.34 0.3958686079 Long EC CORP US N 1 N N N C4 Therapeutics Inc N/A C4 Therapeutics Inc COM STK 12529R107 55728 NS USD 2489927.04 0.6668256858 Long EC CORP US N 1 N N N Modine Mfg Co Z35SZFYJR8GZZRSIUU09 Modine Mfg Co COM STK USD0.625 607828100 118613 NS USD 1343885.29 0.3599050156 Long EC CORP US N 1 N N N Full House Resorts Inc 5493009DKIWW0H901Y82 Full House Resorts Inc COM USD0.0001 359678109 232486 NS USD 2466676.46 0.6605989636 Long EC CORP US N 1 N N N Vicor Corp 5299005KMQOTR6B51F09 Vicor Corp COM STK USD0.01 925815102 24333 NS USD 3264515.28 0.8742676413 Long EC CORP US N 1 N N N Energy Recovery In 549300ZEQL52Z525WJ22 Energy Recovery In USD0.001 29270J100 94163 NS USD 1791921.89 0.4798933961 Long EC CORP US N 1 N N N Triumph Bancorp, Inc. 5493003RNRMEVYDZ1Q52 Triumph Bancorp, Inc. COM USD0.01 89679E300 50261 NS USD 5032633.93 1.3477863077 Long EC CORP US N 1 N N N Aviat Networks Inc 549300Z3X8Z4MK52CI65 Aviat Networks Inc COM USD0. 05366Y201 80076 NS USD 2631297.36 0.7046859761 Long EC CORP US N 1 N N N Bally's Corporation 549300NS4D5IK406VT62 Bally's Corporation COM 05875B106 42240 NS USD 2117913.6 0.5671970166 Long EC CORP US N 1 N N N Docebo Inc N/A Docebo Inc COM 25609L105 69424 NS USD 5053372.96 1.3533404134 Long EC CORP CA N 1 N N N Cowen Inc 5493008QI0EFC5WBED75 Cowen Inc COM USD0.01 CL A 223622606 57518 NS USD 1973442.58 0.5285063299 Long EC CORP US N 1 N N N Optimizerx Corp N/A Optimizerx Corp COM USD0.001(POST REV SPLIT) 68401U204 67043 NS USD 5735528.65 1.5360280698 Long EC CORP US N 1 N N N Brp Group Inc N/A Brp Group Inc COM CL A 05589G102 96501 NS USD 3212518.29 0.8603423624 Long EC CORP US N 1 N N N Midwest Holding Inc 549300BVT4S23YJXKH45 Midwest Holding Inc COM NEW 59833J206 15174 NS USD 590268.6 0.1580794367 Long EC CORP US N 1 N N N Si Bone Inc 549300J8JGYVJJHV9C31 Si Bone Inc COM USD0.0001 825704109 69549 NS USD 1489739.58 0.3989661549 Long EC CORP US N 1 N N N Zevia Pbc N/A Zevia Pbc CL A 98955K104 109837 NS USD 1264223.87 0.3385709443 Long EC CORP US N 1 N N N NeoGames S A 222100MZTIQEZS4XY614 NeoGames S A COM NPV L6673X107 79933 NS USD 2935139.76 0.7860578049 Long EC CORP LU N 1 N N N Chicken Soup for the Soul Entertainment, Inc 549300THRJ0EJ1DIID72 Chicken Soup for the Soul Entertainment, Inc CL A 16842Q100 48399 NS USD 1106885.13 0.2964341621 Long EC CORP US N 1 N N N European Wax Center Inc N/A European Wax Center Inc CLASS A COM 29882P106 114256 NS USD 3200310.56 0.8570730184 Long EC CORP US N 1 N N N Cross Country Heal 54930037L0NBIPZ5S663 Cross Country Heal COM USD0.0001 227483104 180065 NS USD 3824580.6 1.0242583579 Long EC CORP US N 1 N N N Inspire Medical Systems Inc 549300XQQCQ7HCJKTW25 Inspire Medical Systems Inc COM USD0.001 457730109 11146 NS USD 2595680.48 0.6951474434 Long EC CORP US N 1 N N N Applied Therapeutics, Inc. 549300KL3IJPHZM2GR04 Applied Therapeutics, Inc. COM USD0.0001 03828A101 70636 NS USD 1172557.6 0.3140218622 Long EC CORP US N 1 N N N Sierra Wireless In 549300E33RZ5BJ726L53 Sierra Wireless In COM STK NPV 826516106 110072 NS USD 1706116 0.4569137784 Long EC CORP CA N 1 N N N Sunopta Inc 54930010CP0KEPPRPA40 Sunopta Inc COM NPV 8676EP108 233458 NS USD 2084779.94 0.5583235134 Long EC CORP CA N 1 N N N Open Lending Corporation N/A Open Lending Corporation COM CL A 68373J104 52380 NS USD 1889346.6 0.5059846421 Long EC CORP US N 1 N N N Eyepoint Pharmaceuticals Inc 549300QE1RU34T50MR69 Eyepoint Pharmaceuticals Inc COM NEW 30233G209 110643 NS USD 1152900.06 0.3087573896 Long EC CORP US N 1 N N N Karat Packaging Inc 549300JYUKCQP3P8D632 Karat Packaging Inc COM 48563L101 97409 NS USD 2048511.27 0.5486104253 Long EC CORP US N 1 N N N CM Life Sciences Iii Inc N/A CM Life Sciences Iii Inc UNIT EX 043028 125841205 172879 NS USD 1802263.58 0.4826629971 Long EC CORP US N 1 N N N Treace Medical Concepts Inc N/A Treace Medical Concepts Inc COM 89455T109 45975 NS USD 1236727.5 0.3312071599 Long EC CORP US N 1 N N N RumbleON Inc 549300HTVW82DG77Y276 RumbleON Inc COM CL B 781386305 50957 NS USD 1986303.86 0.5319507007 Long EC CORP US N 1 N N N Skyline Champion Corporation N/A Skyline Champion Corporation COM USD0.0277 830830105 88086 NS USD 5290445.16 1.4168305598 Long EC CORP US N 1 N N N Revance Therapeutics Inc 549300N33TFDZHS81H11 Revance Therapeutics Inc COM USD0.001 761330109 56143 NS USD 1564143.98 0.4188923472 Long EC CORP US N 1 N N N Relay Therapeutics Inc N/A Relay Therapeutics Inc COM 75943R102 151588 NS USD 4779569.64 1.2800133304 Long EC CORP US N 1 N N N Imago BioSciences Inc N/A Imago BioSciences Inc COM 45250K107 55900 NS USD 1119677 0.2998599442 Long EC CORP US N 1 N N N Meta Financial Group, Inc. 5493004X52BH1NBLW813 Meta Financial Group, Inc. COM USD0.01 59100U108 65763 NS USD 3451242.24 0.9242748629 Long EC CORP US N 1 N N N Cutera Inc 529900NPKPEWJWR21Z42 Cutera Inc COM USD0.001 232109108 22518 NS USD 1049338.8 0.2810227182 Long EC CORP US N 1 N N N Northern Inst Fds 549300Y178DO5JBR1S04 Northern Inst Fds GOVT SELECT PT 665278701 2924601.06 NS USD 2924601.06 0.7832354427 Long STIV RF US N 1 N N N Matador Resources Company 549300CI3Q2UUK5R4G79 Matador Resources Company COM USD0.01 576485205 89065 NS USD 3388032.6 0.9073467317 Long EC CORP US N 1 N N N ChannelAdvisor Corp 549300KE5CWXBSGWXT83 ChannelAdvisor Corp COM USD0.001 159179100 220582 NS USD 5565283.86 1.4904349272 Long EC CORP US N 1 N N N Proqr Therapeutics N.V 549300NGS2FJGGDBGS06 Proqr Therapeutics N.V COM EUR0.04 N71542109 263029 NS USD 2201552.73 0.5895963558 Long EC CORP NL N 1 N N N Natera Incorporation N/A Natera Incorporation COM USD0.0001 632307104 51168 NS USD 5702161.92 1.5270921483 Long EC CORP US N 1 N N N Turning Point Brands Inc 549300IYG00QF0VVP302 Turning Point Brands Inc COM USD0.01 90041L105 41383 NS USD 1976038.25 0.5292014746 Long EC CORP US N 1 N N N Intellia Therapeutics Inc 5493002T5BCPE5DZC723 Intellia Therapeutics Inc COM USD0.0001 45826J105 25631 NS USD 3438398.65 0.9208352297 Long EC CORP US N 1 N N N Playa Hotels & Resorts N V 529900BUP3KWPCJNLS49 Playa Hotels & Resorts N V COM USD0.01 N70544106 205339 NS USD 1702260.31 0.4558811886 Long EC CORP NL N 1 N N N Metropolitan Bank Holding Corp N/A Metropolitan Bank Holding Corp COM USD0.01 591774104 42848 NS USD 3612086.4 0.9673504292 Long EC CORP US N 1 N N N Avid Bioservices Inc 549300GRUS3ZMGP8MX22 Avid Bioservices Inc COM USD0.001 05368M106 187896 NS USD 4052916.72 1.0854089007 Long EC CORP US N 1 N N N Thorne Healthtech Inc 549300VD2OYCM2I1IQ17 Thorne Healthtech Inc COM 885260109 165736 NS USD 1433616.4 0.3839358438 Long EC CORP US N 1 N N N Dice Therapeutics Inc N/A Dice Therapeutics Inc COM 23345J104 94413 NS USD 3092025.75 0.8280733363 Long EC CORP US N 1 N N N Ultra Clean Holdings Inc 5493007L6LS7QX18PE75 Ultra Clean Holdings Inc COM USD0.001 90385V107 44950 NS USD 1914870 0.5128200467 Long EC CORP US N 1 N N N Liquidity Svcs Inc 5299002AZ4ULSAXN0G81 Liquidity Svcs Inc COM STK USD0.001 53635B107 103439 NS USD 2235316.79 0.5986386860 Long EC CORP US N 1 N N N Chart Industries Inc EM7QGKC1GYOF3LSZSL80 Chart Industries Inc COM USD0.01 16115Q308 22940 NS USD 4384063.4 1.1740930703 Long EC CORP US N 1 N N N Green Plains Inc VJ5WLTHARBSDR14KIZ98 Green Plains Inc COM STK USD0.001 393222104 139606 NS USD 4558135.9 1.2207113094 Long EC CORP US N 1 N N N Calix Networks Inc 5299002RQRZ4SXSCSJ58 Calix Networks Inc COM USD0.01 13100M509 141624 NS USD 7000474.32 1.8747923189 Long EC CORP US N 1 N N N Performant Financial N/A Performant Financial COM 71377E105 229357 NS USD 908253.72 0.2432388178 Long EC CORP US N 1 N N N Xenon Pharmaceuticals Inc 549300XV44Q9Z1MIPQ03 Xenon Pharmaceuticals Inc COM NPV 98420N105 148945 NS USD 2275879.6 0.6095017848 Long EC CORP CA N 1 N N N Everi Holdings Inc 5299006DK5S7BG10K532 Everi Holdings Inc USD0.001 30034T103 288112 NS USD 6966548.16 1.8657065768 Long EC CORP US N 1 N N N Cryoport Inc N/A Cryoport Inc COM USD0.01 229050307 72724 NS USD 4836873.24 1.2953597690 Long EC CORP US N 1 N N N Bonanza Creek Energy, Inc. IIVIHPH28S64K95M2381 Bonanza Creek Energy, Inc. COM USD0.001 097793400 57629 NS USD 2760429.1 0.7392686605 Long EC CORP US N 1 N N N Perion Network Ltd 529900SL7HYNVD6HG708 Perion Network Ltd COM ILS0.03 M78673114 183297 NS USD 3176537.01 0.8507062400 Long EC CORP IL N 1 N N N Radnet Inc 529900RECG94V2IZJ970 Radnet Inc COM STK USD0.01 750491102 52639 NS USD 1542849.09 0.4131893770 Long EC CORP US N 1 N N N Camtek N/A Camtek ILS0.01 M20791105 108914 NS USD 4412106.14 1.1816031776 Long EC CORP IL N 1 N N N Neogenomics Inc 549300KN62PPGHBVXB46 Neogenomics Inc COM NPV 64049M209 45177 NS USD 2179338.48 0.5836471724 Long EC CORP US N 1 N N N Cytokinetics Inc 549300BE5DY1HW7IHA64 Cytokinetics Inc COM USD0.001 23282W605 191924 NS USD 6859363.76 1.8370015947 Long EC CORP US N 1 N N N Dynavax Technologi 549300T5URIXWDILX594 Dynavax Technologi COM USD0.001 268158201 88305 NS USD 1696339.05 0.4542954200 Long EC CORP US N 1 N N N Vista Ootdoor Inc 549300QI2D33ESTJLN81 Vista Ootdoor Inc COM NPV 928377100 73952 NS USD 2981005.12 0.7983409761 Long EC CORP US N 1 N N N Lindblad Expeditions Hldgs Inc 549300GSPW24GZE6R597 Lindblad Expeditions Hldgs Inc COM USD0.0001 535219109 95822 NS USD 1398042.98 0.3744089501 Long EC CORP US N 1 N N N Kymera Therapeutics Inc N/A Kymera Therapeutics Inc COM 501575104 34266 NS USD 2012784.84 0.5390425541 Long EC CORP US N 1 N N N Couchbase Inc 5493004VX52ODFMQLF07 Couchbase Inc COM 22207T101 127726 NS USD 3973555.86 1.0641553221 Long EC CORP US N 1 N N N Clearfield Inc 529900M4S2OQ1ADPR537 Clearfield Inc COM STK USD0.01 18482P103 65716 NS USD 2901361.4 0.7770116450 Long EC CORP US N 1 N N N Energy Fuels Inc 529900P0GCATXMGK8I62 Energy Fuels Inc COM NPV 292671708 265934 NS USD 1866856.68 0.4999616318 Long EC CORP CA N 1 N N N Seaspine Holdings Corp 5493006QNC6E00LJ7M10 Seaspine Holdings Corp USD0.01 81255T108 138159 NS USD 2173241.07 0.5820142292 Long EC CORP US N 1 N N N Axcelis Technologies, Inc. 529900HF9B6NL1QG9F05 Axcelis Technologies, Inc. COM USD0.001 054540208 76541 NS USD 3599723.23 0.9640394569 Long EC CORP US N 1 N N N Sophia Genetics Sa N/A Sophia Genetics Sa COM CHF0.05 H82027105 45435 NS USD 796475.55 0.2133035813 Long EC CORP CH N 1 N N N Brilliant Earth Group Inc N/A Brilliant Earth Group Inc CL A COM 109504100 117947 NS USD 1580489.8 0.4232699102 Long EC CORP US N 1 N N N Smart Global Holdings Inc 529900RDGHQY8XKXPN14 Smart Global Holdings Inc COM USD0.03 G8232Y101 41211 NS USD 1833889.5 0.4911327135 Long EC CORP KY N 1 N N N Funko Inc 529900NG9F0KL5P6NK67 Funko Inc COM USD0.0001 CL A 361008105 96517 NS USD 1757574.57 0.4706948634 Long EC CORP US N 1 N N N Lovesac Company N/A Lovesac Company COM USD0.00001 54738L109 45204 NS USD 2987532.36 0.8000890318 Long EC CORP US N 1 N N N Axonics Inc 549300LJY4X7N57VJL05 Axonics Inc COM USD0.0001 05465P101 55267 NS USD 3597329.03 0.9633982678 Long EC CORP US N 1 N N N Nuvalent Inc N/A Nuvalent Inc COM 670703107 94976 NS USD 2141708.8 0.5735695931 Long EC CORP US N 1 N N N Xponential Fitness Inc N/A Xponential Fitness Inc COM CL A 98422X101 124455 NS USD 1579333.95 0.4229603628 Long EC CORP US N 1 N N N 2021-11-03 Driehaus Mutual Funds Robert M. Kurinsky Robert M. Kurinsky Vice President and Treasurer XXXX NPORT-EX 2 edgar.htm

Driehaus Emerging Markets Growth Fund
Schedule of Investments
September 30, 2021 (unaudited)

  Shares,
Principal
Amount, or
Number of
Contracts
Value
COMMON STOCKS — 93.38%
FAR EAST — 63.58%
China — 25.42%
AIA Group Ltd. 1,329,833 $15,298,940
Airtac International Group 354,715 11,035,890
Alibaba Group Holding Ltd. * 1,072,793 19,861,626
Aluminum Corp. of China Ltd. - H * 20,315,039 15,089,645
Baidu, Inc. - A * 755,468 14,526,580
Beijing Oriental Yuhong Waterproof Technology Co. Ltd. - A 1,334,751 9,102,525
BYD Co. Ltd. - H 771,347 23,975,320
China Merchants Bank Co. Ltd. - H 2,889,503 22,995,092
China Resources Beer Holdings Co. Ltd. 777,569 5,750,932
Contemporary Amperex Technology Co. Ltd. - A 448,092 36,303,887
East Money Information Co. Ltd. - A 6,349,315 33,570,971
Fuyao Glass Industry Group Co. Ltd. - H 1 2,029,010 10,792,220
Hong Kong Exchanges & Clearing Ltd. 180,962 11,120,208
I-Mab - SP ADR 2,* 185,832 13,470,962
JD.com, Inc. - ADR 2,* 682,318 49,290,652
Kweichow Moutai Co. Ltd. - A 53,594 15,127,366
Li Ning Co. Ltd. 1,176,205 13,556,634
LONGi Green Energy Technology Co. Ltd. - A 937,399 11,915,663
NARI Technology Co. Ltd. - A 3,574,525 19,742,192
Shenzhou International Group Holdings Ltd. 696,000 14,771,536
Silergy Corp. 125,868 18,307,950
Sungrow Power Supply Co. Ltd. - A 936,678 21,288,207
Sunny Optical Technology Group Co. Ltd. 848,138 22,208,400
Techtronic Industries Co. Ltd. 1,180,782 23,334,095
Tencent Holdings Ltd. 2,062,112 123,105,526
WuXi AppTec Co. Ltd. - H 1 427,266 9,946,679
Wuxi Biologics Cayman, Inc. 1,* 671,827 10,897,233
Zhangzhou Pientzehuang Pharmaceutical Co. Ltd. - A 492,763 28,778,282
    625,165,213
India — 16.33%
Apollo Hospitals Enterprise Ltd. 494,947 29,786,452
Ashok Leyland Ltd. 10,070,529 18,045,867
Asian Paints Ltd. 358,181 15,613,426
Clean Science & Technology Ltd. * 256,215 7,066,602
  Shares,
Principal
Amount, or
Number of
Contracts
Value
Havells India Ltd. 844,167 $15,517,999
HDFC Bank Ltd. - ADR 2 420,914 30,764,604
Hindalco Industries Ltd. 3,361,768 22,004,749
Hindustan Unilever Ltd. 230,345 8,375,853
Housing Development Finance Corp. Ltd. 927,549 34,280,262
ICICI Bank Ltd. - SP ADR 2 3,339,130 63,009,383
Indraprastha Gas Ltd. 1,422,673 10,185,594
Power Grid Corp. of India Ltd. 7,341,571 18,719,344
Reliance Industries Ltd. 1,399,455 47,364,291
SBI Cards & Payment Services Ltd. * 1,485,263 20,484,531
Tata Consultancy Services Ltd. 747,970 37,905,818
Titan Co. Ltd. 775,931 22,519,845
    401,644,620
Taiwan — 8.66%
Chailease Holding Co. Ltd. 2,948,179 25,891,197
Delta Electronics, Inc. 2,810,657 25,183,976
Merida Industry Co. Ltd. 1,080,893 11,298,093
Taiwan Semiconductor Manufacturing Co. Ltd. - SP ADR 2 1,349,222 150,640,636
    213,013,902
South Korea — 8.42%
Kakao Corp. 114,610 11,271,680
KakaoBank Corp. * 85,149 4,919,081
KB Financial Group, Inc. 212,730 9,893,547
Kia Corp. 246,477 16,646,204
Macquarie Korea Infrastructure Fund 1,000,206 10,809,298
NAVER Corp. 33,248 10,787,878
Samsung Electronics Co. Ltd. 1,853,323 114,896,020
SK IE Technology Co. Ltd. 1,* 70,621 13,390,168
SK Innovation Co. Ltd. * 66,134 14,560,097
    207,173,973
Indonesia — 1.88%
Bank Central Asia Tbk PT 13,080,460 31,860,309
Bank Jago Tbk PT * 13,808,555 14,526,858
    46,387,167
Singapore — 1.32%
Sea Ltd. - ADR 2,* 102,123 32,549,664
Malaysia — 0.52%
Lynas Rare Earths Ltd. * 2,684,349 12,702,724
Turkey — 0.43%
Tofas Turk Otomobil Fabrikasi A/S 1,795,128 10,508,291
Vietnam — 0.41%
Masan Group Corp. 1,597,900 9,999,066
 
Notes to Schedule of Investments are an integral part of this Schedule.
1


Driehaus Emerging Markets Growth Fund
Schedule of Investments
September 30, 2021 (unaudited)

  Shares,
Principal
Amount, or
Number of
Contracts
Value
Philippines — 0.19%
International Container Terminal Services, Inc. 1,240,557 $4,738,178
Total FAR EAST
(Cost $1,127,092,846)
  1,563,882,798
EUROPE — 11.38%
Russia — 6.10%
Alrosa PJSC 2 8,053,016 14,717,485
LUKOIL PJSC - SP ADR 2 458,469 43,542,804
Polyus PJSC 2 92,435 15,188,880
Sberbank of Russia PJSC - SP ADR 2 2,493,344 46,484,777
Yandex NV - A 2,* 376,791 30,026,475
    149,960,421
Netherlands — 1.63%
ASML Holding NV 31,700 23,681,754
Heineken NV 157,005 16,387,374
    40,069,128
Hungary — 1.44%
OTP Bank NYRT * 604,330 35,361,224
France — 0.93%
L'Oreal SA 55,111 22,805,155
Denmark — 0.50%
Vestas Wind Systems A/S 305,342 12,249,732
Germany — 0.42%
Infineon Technologies AG 256,109 10,474,400
Greece — 0.36%
OPAP SA 578,534 8,950,418
Total EUROPE
(Cost $233,655,885)
  279,870,478
NORTH AMERICA — 11.32%
United States — 7.73%
Ball Corp. 225,246 20,265,383
EPAM System, Inc. * 50,243 28,662,627
Freshworks, Inc. - A * 372,399 15,897,713
Liberty Media Corp.-Liberty Formula One - C * 446,115 22,934,772
MELI Kaszek Pioneer Corp. - A * 276,681 3,057,325
NVIDIA Corp. 95,391 19,761,200
Snap, Inc. - A * 227,467 16,802,987
The Kraft Heinz Co. 399,468 14,708,412
Unity Software, Inc. * 101,746 12,845,432
Visa, Inc. - A 157,845 35,159,974
    190,095,825
Mexico — 2.37%
Grupo Financiero Banorte SAB de CV - O 6,027,430 38,629,398
Grupo Televisa SAB - SP ADR 2 408,216 4,482,212
  Shares,
Principal
Amount, or
Number of
Contracts
Value
Wal-Mart de Mexico SAB de CV 4,518,963 $15,313,880
    58,425,490
Canada — 1.22%
Nutrien Ltd. 2 462,227 29,966,176
Total NORTH AMERICA
(Cost $253,883,985)
  278,487,491
SOUTH AMERICA — 5.93%
Brazil — 3.16%
Banco BTG Pactual SA * 6,214,170 28,527,613
Hapvida Participacoes e Investimentos SA 1 3,379,900 8,434,622
Locaweb Servicos de Internet SA 1,* 2,158,487 9,076,684
Pagseguro Digital Ltd. - A 2,* 250,608 12,961,446
Sendas Distribuidora SA 3,459,840 12,179,247
TOTVS SA 979,868 6,484,771
    77,664,383
Uruguay — 1.66%
Dlocal Ltd. 2,* 323,655 17,658,617
Globant SA 2,* 82,654 23,226,600
    40,885,217
Argentina — 1.11%
MercadoLibre, Inc. 2,* 16,281 27,342,312
Total SOUTH AMERICA
(Cost $140,907,498)
  145,891,912
AFRICA — 0.69%
South Africa — 0.69%
Capitec Bank Holdings Ltd. 139,838 16,892,458
Total AFRICA
(Cost $13,574,947)
  16,892,458
MIDDLE EAST — 0.48%
Saudi Arabia — 0.48%
Saudi Arabian Oil Co. 1 1,234,437 11,838,330
Total MIDDLE EAST
(Cost $11,711,202)
  11,838,330
Total COMMON STOCKS
(Cost $1,780,826,363)
  2,296,863,467
 
Notes to Schedule of Investments are an integral part of this Schedule.
2


Driehaus Emerging Markets Growth Fund
Schedule of Investments
September 30, 2021 (unaudited)

  Shares,
Principal
Amount, or
Number of
Contracts
  Value
SHORT TERM INVESTMENTS — 6.43%
Northern Institutional U.S. Government Select Portfolio (Shares Class), 0.03% 3
(Cost $158,099,910)
158,099,910   $158,099,910
TOTAL INVESTMENTS
(Cost $1,938,926,273)
99.81%   $2,454,963,377
Other Assets In Excess of Liabilities 0.19%   4,671,141
Net Assets 100.00%   $2,459,634,518
    
ADR American Depositary Receipt
PJSC Public Joint Stock Company
SP ADR Sponsored American Depositary Receipt
    
1 Security is exempt from registration under Rule 144A of the Securities Act of 1933, as amended. The total value of these securities is $74,375,936, which represents 3% of Net Assets.
2 Foreign security denominated and/or traded in U.S. dollars.
3 7 day current yield as of September 30, 2021, is disclosed.
* Non-income producing security.
Percentages are stated as a percent of net assets.
Notes to Schedule of Investments are an integral part of this Schedule.
3


Driehaus Emerging Markets Small Cap Growth Fund
Schedule of Investments
September 30, 2021 (unaudited)

  Shares,
Principal
Amount, or
Number of
Contracts
Value
COMMON STOCKS — 92.44%
FAR EAST — 74.74%
India — 28.05%
Apollo Hospitals Enterprise Ltd. 11,963 $719,946
Ashok Leyland Ltd. 331,255 593,592
AU Small Finance Bank Ltd. 1,* 37,268 583,006
Birlasoft Ltd. 246,660 1,350,861
Burger King India Ltd. * 432,296 941,703
Clean Science & Technology Ltd. * 19,802 546,154
Crompton Greaves Consumer Electricals Ltd. 190,577 1,227,910
Dixon Technologies India Ltd. 18,212 1,124,025
Dr Lal PathLabs Ltd. 1 13,955 688,917
Godrej Properties Ltd. * 49,388 1,531,061
ICICI Securities Ltd. 1 54,917 559,334
IndiaMart InterMesh Ltd. 1 12,942 1,453,299
Indraprastha Gas Ltd. 219,631 1,572,443
Info Edge India Ltd. 9,714 838,455
Jindal Steel & Power Ltd. * 167,228 868,844
JK Cement Ltd. 26,640 1,113,816
Jubilant Foodworks Ltd. 12,934 702,326
Jubilant Ingrevia Ltd. 77,741 783,946
Kaveri Seed Co. Ltd. 62,505 486,033
Max Healthcare Institute Ltd. * 389,770 1,880,381
Oberoi Realty Ltd. * 109,063 1,408,799
Radico Khaitan Ltd. 96,784 1,146,688
Relaxo Footwears Ltd. 55,501 849,150
Sobha Ltd. 114,405 1,211,443
Sona Blw Precision Forgings Ltd. 1,* 224,946 1,698,507
SRF Ltd. 8,704 1,319,478
Syngene International Ltd. 1,* 161,664 1,305,274
Varun Beverages Ltd. 149,207 1,798,316
Vijaya Diagnostic Centre Private Ltd. * 188,328 1,446,062
    31,749,769
China — 18.92%
Airtac International Group 25,000 777,800
Akeso, Inc. 1,* 156,000 853,820
Aluminum Corp. of China Ltd. - H * 1,370,000 1,017,611
Amoy Diagnostics Co. Ltd. - A 83,463 1,033,581
Centre Testing International Group Co. Ltd. - A 189,500 742,849
Changzhou Xingyu Automotive Lighting Systems Co. Ltd. - A 45,981 1,285,765
China National Building Material Co. Ltd. - H 872,000 1,172,987
Estun Automation Co. Ltd. - A 425,078 1,434,254
Gotion High-tech Co. Ltd. - A * 102,500 748,770
  Shares,
Principal
Amount, or
Number of
Contracts
Value
Hygeia Healthcare Holdings Co. Ltd. 1 133,400 $986,873
Longshine Technology Group Co. Ltd. - A 459,625 1,830,078
Maanshan Iron & Steel Co. Ltd. - H 2,464,000 1,118,452
Ming Yang Smart Energy Group Ltd. - A 467,400 1,793,798
Pacific Basin Shipping Ltd. 3,595,000 1,663,902
Silergy Corp. 8,000 1,163,629
Wuhan DR Laser Technology Corp. Ltd. - A 29,600 629,600
Xinyi Energy Holdings Ltd. 1,394,000 808,900
Yantai Jereh Oilfield Services Group Co. Ltd. - A 214,800 1,594,778
Zoomlion Heavy Industry Science and Technology Co. Ltd. - H 859,000 765,452
    21,422,899
Taiwan — 7.12%
Accton Technology Corp. 57,000 537,200
ASPEED Technology, Inc. 13,000 1,070,629
Eclat Textile Co. Ltd. 52,000 1,127,049
Makalot Industrial Co. Ltd. 124,000 1,091,978
Realtek Semiconductor Corp. 32,300 569,058
Sinbon Electronics Co. Ltd. 155,000 1,303,388
Voltronic Power Technology Corp. 29,550 1,801,950
Wiwynn Corp. 18,000 557,385
    8,058,637
Vietnam — 6.28%
Asia Commercial Bank JSC * 495,675 713,983
Dat Xanh Real Estate Services JSC * 1,077,000 1,353,348
FPT Corp. 550,567 2,358,083
Masan Group Corp. 195,900 1,225,870
Military Commercial Joint Stock Bank * 408,757 496,835
SSI Securities Corp. 542,133 961,026
    7,109,145
South Korea — 5.26%
Chunbo Co. Ltd. 7,067 1,549,946
Iljin Materials Co. Ltd. 19,243 1,662,493
LEENO Industrial, Inc. 14,794 2,183,708
Mando Corp. * 11,741 557,851
    5,953,998
Indonesia — 3.33%
Adi Sarana Armada Tbk PT * 7,362,100 1,762,809
Bank Jago Tbk PT * 937,982 986,775
Merdeka Copper Gold Tbk PT * 5,819,600 1,018,534
    3,768,118
 
Notes to Schedule of Investments are an integral part of this Schedule.
4


Driehaus Emerging Markets Small Cap Growth Fund
Schedule of Investments
September 30, 2021 (unaudited)

  Shares,
Principal
Amount, or
Number of
Contracts
Value
Kazakhstan — 2.63%
Kaspi.KZ JSC 1,2 17,101 $1,941,818
NAC Kazatomprom JSC - GDR 2 29,539 1,038,657
    2,980,475
Thailand — 1.49%
Chularat Hospital PCL - NVDR 7,618,000 841,780
Dohome PCL - NVDR 1,209,400 844,985
    1,686,765
Turkey — 0.91%
Coca-Cola Icecek A/S 108,099 1,027,081
Malaysia — 0.75%
Lynas Rare Earths Ltd. * 179,350 848,710
Total FAR EAST
(Cost $69,159,008)
  84,605,597
SOUTH AMERICA — 9.87%
Brazil — 9.25%
Arezzo Industria e Comercio SA 74,400 1,129,303
Cia Brasileira de Aluminio * 574,200 1,474,051
Locaweb Servicos de Internet SA 1,* 136,000 571,896
Meliuz SA 1 533,400 580,831
Orizon Valorizacao de Residuos SA * 282,700 1,445,750
Pet Center Comercio e Participacoes SA 216,600 930,715
Petro Rio SA * 282,300 1,298,557
TOTVS SA 190,100 1,258,083
Tres Tentos Agroindustrial SA * 435,192 759,184
Vamos Locacao de Caminhoes Maquinas e Equipamentos SA * 367,600 1,017,258
    10,465,628
Uruguay — 0.62%
Globant SA 2,* 2,514 706,459
Total SOUTH AMERICA
(Cost $9,384,581)
  11,172,087
NORTH AMERICA — 5.06%
Mexico — 2.20%
GCC SAB de CV 159,600 1,192,892
Grupo Traxion SAB de CV 1,* 779,000 1,293,333
    2,486,225
United States — 1.69%
Freshworks, Inc. - A * 19,570 835,443
Parade Technologies Ltd. 18,455 1,080,271
    1,915,714
  Shares,
Principal
Amount, or
Number of
Contracts
  Value
Canada — 1.17%
Ivanhoe Mines Ltd. - A * 207,160   $1,324,804
Total NORTH AMERICA
(Cost $5,626,043)
    5,726,743
EUROPE — 2.77%
Poland — 1.40%
Dino Polska SA 1,* 18,976   1,584,971
Russia — 0.69%
RusHydro PJSC 2 70,489,994   784,847
United Kingdom — 0.68%
Ceres Power Holdings PLC * 53,535   769,193
Total EUROPE
(Cost $2,242,902)
    3,139,011
Total COMMON STOCKS
(Cost $86,412,534)
    104,643,438
RIGHTS — 0.08%
FAR EAST — 0.08%
Vietnam — 0.08%
SSI Securities Corp. * 406,600   91,222
Total FAR EAST
(Cost $0)
    91,222
Total RIGHTS
(Cost $0)
    91,222
SHORT TERM INVESTMENTS — 6.83%
Northern Institutional U.S. Government Select Portfolio (Shares Class), 0.03% 3
(Cost $7,729,227)
7,729,227   7,729,227
TOTAL INVESTMENTS
(Cost $94,141,761)
99.35%   $112,463,887
Other Assets In Excess of Liabilities 0.65%   740,840
Net Assets 100.00%   $113,204,727
    
GDR Global Depositary Receipt
JSC Joint Stock Company
NVDR Non-Voting Depositary Receipt
PCL Public Company Limited
PJSC Public Joint Stock Company
PLC Public Limited Company
    
1 Security is exempt from registration under Rule 144A of the Securities Act of 1933, as amended. The total value of these securities is $14,101,879, which represents 12% of Net Assets.
2 Foreign security denominated and/or traded in U.S. dollars.
 
Notes to Schedule of Investments are an integral part of this Schedule.
5


Driehaus Emerging Markets Small Cap Growth Fund
Schedule of Investments
September 30, 2021 (unaudited)

3 7 day current yield as of September 30, 2021, is disclosed.
* Non-income producing security.
Percentages are stated as a percent of net assets.
Notes to Schedule of Investments are an integral part of this Schedule.
6


Driehaus Emerging Markets Opportunities Fund
Schedule of Investments
September 30, 2021 (unaudited)

  Shares,
Principal
Amount, or
Number of
Contracts
Value
SOVEREIGN BONDS — 16.13%
Brazil — 0.74%
Brazil Notas do Tesouro Nacional Serie F
10.00%, 1/1/31 1
2,500,000 $432,206
China — 4.58%
China Government Bond
3.20%, 3/16/24 1
1,200,000 188,969
China Government Bond
3.54%, 8/16/28 1
2,500,000 405,070
China Government Bond
2.68%, 5/21/30 1
7,000,000 1,057,661
China Government Bond
3.27%, 11/19/30 1
6,500,000 1,033,568
    2,685,268
Colombia — 0.64%
Colombia Government International Bond
3.13%, 4/15/31 2
400,000 374,412
Egypt — 1.67%
Egypt Government Bond
17.00%, 4/3/22 1
6,500,000 423,697
Egypt Government International Bond
6.59%, 2/21/28 2
550,000 553,725
    977,422
Indonesia — 1.59%
Indonesia Treasury Bond
8.37%, 9/15/26 1
3,400,000,000 269,803
Indonesia Treasury Bond
7.00%, 9/15/30 1
9,000,000,000 660,576
    930,379
Malaysia — 0.59%
Malaysia Government Bond
3.89%, 8/15/29 1
1,400,000 346,209
Mexico — 2.52%
Banco Mercantil del Norte SA
8.37%, (U.S. Treasury Yield Curve Rate CMT 10Y + 776 basis points), 10/14/30 2,3,4
300,000 354,294
Mexican Bonos
8.50%, 11/18/38 1
11,000,000 568,060
Mexico Government International Bond
4.50%, 4/22/29 2
260,000 291,964
Petroleos Mexicanos
6.50%, 3/13/27 2
250,000 264,028
    1,478,346
Nigeria — 0.52%
Nigeria Government International Bond
7.14%, 2/23/30 2
300,000 306,671
  Shares,
Principal
Amount, or
Number of
Contracts
Value
Peru — 0.85%
Peruvian Government International Bond
6.95%, 8/12/31 1
2,000,000 $501,477
Saudi Arabia — 0.70%
Saudi Government International Bond
2.75%, 2/3/32 2
400,000 411,882
South Africa — 0.46%
Republic of South Africa Government Bond
8.50%, 1/31/37 1
4,900,000 272,954
Turkey — 0.48%
Turkey Government International Bond
5.95%, 1/15/31 2
300,000 283,628
Ukraine — 0.79%
Ukraine Government International Bond
7.37%, 9/25/32 2
450,000 461,826
Total SOVEREIGN BONDS
(Cost $9,409,501)
  9,462,680
COMMON STOCKS — 79.31%
Argentina — 0.68%
MercadoLibre, Inc. 2,5,* 237 398,018
Brazil — 1.98%
Locaweb Servicos de Internet SA 6,* 109,965 462,415
Pagseguro Digital Ltd. - A 2,5,* 9,065 468,842
Tres Tentos Agroindustrial SA * 133,474 232,843
    1,164,100
Canada — 0.66%
Nutrien Ltd. 2,5 6,002 389,110
China — 19.27%
AIA Group Ltd. 21,612 248,633
Alibaba Group Holding Ltd. * 28,413 526,037
Aluminum Corp. of China Ltd. - H * 584,000 433,785
Baidu, Inc. - SP ADR 2,5,* 2,489 382,684
Burning Rock Biotech Ltd. - ADR 2,5,* 12,232 218,708
BYD Co. Ltd. - H 14,061 437,050
China Merchants Bank Co. Ltd. - H 61,259 487,508
China Resources Beer Holdings Co. Ltd. 75,810 560,694
Contemporary Amperex Technology Co. Ltd. - A 6,955 563,486
East Money Information Co. Ltd. - A 165,322 874,113
Fuyao Glass Industry Group Co. Ltd. - H 6 47,247 251,305
 
Notes to Schedule of Investments are an integral part of this Schedule.
7


Driehaus Emerging Markets Opportunities Fund
Schedule of Investments
September 30, 2021 (unaudited)

  Shares,
Principal
Amount, or
Number of
Contracts
Value
JD Health International, Inc. 6,* 172 $1,658
JD.com, Inc. - ADR 2,5,* 4,270 308,465
Kingdee International Software Group Co. Ltd. * 148,359 493,985
Li Ning Co. Ltd. 49,684 572,645
Meituan - B 6,* 13,256 423,151
NIO, Inc. - ADR 2,5,* 15,372 547,704
Sangfor Technologies, Inc. - A 9,700 352,329
Sungrow Power Supply Co. Ltd. - A 13,470 306,137
Tencent Holdings Ltd. 36,153 2,158,289
Wuxi Biologics Cayman, Inc. 6,* 42,186 684,269
Zhangzhou Pientzehuang Pharmaceutical Co. Ltd. - A 8,072 471,420
    11,304,055
Czech Republic — 1.39%
Komercni banka A/S * 20,195 817,779
France — 0.98%
L'Oreal SA 1,389 574,774
India — 10.95%
Apollo Hospitals Enterprise Ltd. 7,102 427,406
Ashok Leyland Ltd. 175,535 314,550
Asian Paints Ltd. 8,053 351,037
HDFC Bank Ltd. - ADR 2,5 9,539 697,206
Hindustan Unilever Ltd. 13,836 503,108
Housing Development Finance Corp. Ltd. 10,109 373,607
ICICI Bank Ltd. - SP ADR 2,5 45,220 853,301
Indraprastha Gas Ltd. 34,299 245,563
Power Grid Corp. of India Ltd. 167,823 427,910
Reliance Industries Ltd. 30,467 1,031,150
SBI Cards & Payment Services Ltd. * 46,590 642,562
Tech Mahindra Ltd. 30,041 556,180
    6,423,580
Indonesia — 2.16%
Bank Central Asia Tbk PT 349,049 850,185
Bank Jago Tbk PT * 398,378 419,101
    1,269,286
Japan — 1.31%
FANUC Corp. 2,091 458,477
Tokyo Electron Ltd. 700 309,245
    767,722
Kazakhstan — 1.92%
Kaspi.KZ JSC 2,6 6,419 728,877
NAC Kazatomprom JSC - GDR 2 11,303 397,439
    1,126,316
Malaysia — 0.58%
Lynas Rare Earths Ltd. * 72,418 342,692
  Shares,
Principal
Amount, or
Number of
Contracts
Value
Mexico — 1.03%
Grupo Financiero Banorte SAB de CV - O 94,271 $604,177
Netherlands — 1.12%
ASML Holding NV 876 654,423
Russia — 4.39%
Alrosa PJSC 2 161,376 294,927
LUKOIL PJSC - SP ADR 2 10,906 1,035,790
Sberbank of Russia PJSC - SP ADR 2 41,924 781,612
Yandex NV - A 2,5,* 5,790 461,405
    2,573,734
Saudi Arabia — 0.96%
Saudi Arabian Oil Co. 6 58,622 562,189
Singapore — 1.51%
Sea Ltd. - ADR 2,5,* 2,776 884,794
South Korea — 9.98%
Hankook Tire & Technology Co. Ltd. 8,945 324,161
Kakao Corp. 3,129 307,731
KakaoBank Corp. * 590 34,084
KB Financial Group, Inc. 5,191 241,421
Kia Corp. 6,212 419,537
LEENO Industrial, Inc. 4,257 628,365
Macquarie Korea Infrastructure Fund 44,563 481,596
Mando Corp. * 4,927 234,097
Samsung Electronics Co. Ltd. 37,029 2,295,598
Samsung SDI Co. Ltd. 779 464,845
SK Innovation Co. Ltd. * 1,926 424,029
    5,855,464
Taiwan — 10.79%
Chailease Holding Co. Ltd. 99,000 869,428
Delta Electronics, Inc. 35,986 322,441
Hon Hai Precision Industry Co. Ltd. 121,103 452,030
MediaTek, Inc. 13,717 441,516
Sinbon Electronics Co. Ltd. 40,136 337,502
Taiwan Semiconductor Manufacturing Co. Ltd. 177,668 3,674,545
Unimicron Technology Corp. 50,311 235,413
    6,332,875
United States — 6.07%
Freeport-McMoRan, Inc. 5 14,394 468,237
Freshworks, Inc. - A 5,* 6,716 286,706
Liberty Media Corp.-Liberty Formula One - C 5,* 14,535 747,244
MELI Kaszek Pioneer Corp. - A * 6,643 73,405
NVIDIA Corp. 5 3,892 806,267
ROBLOX Corp. - A 5,* 5,022 379,412
 
Notes to Schedule of Investments are an integral part of this Schedule.
8


Driehaus Emerging Markets Opportunities Fund
Schedule of Investments
September 30, 2021 (unaudited)

  Shares,
Principal
Amount, or
Number of
Contracts
  Value
Unity Software, Inc. 5,* 2,480   $313,100
Visa, Inc. - A 5 2,188   487,377
      3,561,748
Uruguay — 1.58%
Dlocal Ltd. 2,5,* 7,778   424,367
Globant SA 2,5,* 1,777   499,355
      923,722
Total COMMON STOCKS
(Cost $35,725,242)
    46,530,558
PREFERRED STOCKS — 0.89%
Brazil — 0.89%
Gerdau SA - SP ADR
8.33% 2,5,7
105,716   520,123
Total PREFERRED STOCKS
(Cost $420,611)
    520,123
SHORT TERM INVESTMENTS — 3.00%
Northern Institutional U.S. Government Select Portfolio (Shares Class), 0.03% 8
(Cost $1,759,590)
1,759,590   1,759,590
TOTAL INVESTMENTS
(Cost $47,314,944)
99.33%   $58,272,951
Other Assets in Excess of Liabilities 0.67%   395,219
Net Assets 100.00%   $58,668,170
    
ADR American Depositary Receipt
GDR Global Depositary Receipt
JSC Joint Stock Company
PJSC Public Joint Stock Company
SP ADR Sponsored American Depositary Receipt
    
1 Foreign security, par value shown in local currency.
2 Foreign security denominated and/or traded in U.S. dollars.
3 Perpetual security. Maturity date shown is the next call date or final legal maturity date, whichever comes first.
4 Variable rate security. Rates disclosed as of September 30, 2021.
5 All or a portion of this security is pledged as collateral for short sales or derivatives transactions.
6 Security is exempt from registration under Rule 144A of the Securities Act of 1933, as amended. The total value of these securities is $3,113,864, which represents 5% of Net Assets.
7 Current yield is disclosed. Dividends are calculated based on a percentage of the issuer’s net income.
8 7 day current yield as of September 30, 2021, is disclosed.
* Non-income producing security.
Percentages are stated as a percent of net assets.
 
Notes to Schedule of Investments are an integral part of this Schedule.
9


Driehaus International Small Cap Growth Fund
Schedule of Investments
September 30, 2021 (unaudited)

  Shares,
Principal
Amount, or
Number of
Contracts
Value
COMMON STOCKS — 95.83%
EUROPE — 69.09%
United Kingdom — 22.71%
888 Holdings PLC 588,501 $3,409,669
Abcam PLC * 210,734 4,253,466
Aston Martin Lagonda Global Holdings PLC 1,* 83,906 2,162,928
Bellway PLC 53,518 2,360,502
Conduit Holdings Ltd. 386,582 2,460,338
ConvaTec Group PLC 1 1,209,826 3,521,058
Cranswick PLC 45,033 2,161,870
easyJet PLC * 167,045 1,474,814
Electrocomponents PLC 312,754 4,527,618
Endava PLC - SP ADR 2,* 28,588 3,883,680
Ergomed PLC * 86,900 1,545,576
Fevertree Drinks PLC 88,259 2,769,651
Halfords Group PLC 615,687 2,521,913
IMI PLC 147,148 3,270,944
LivaNova PLC 2,* 44,689 3,538,922
Marks & Spencer Group PLC * 1,433,500 3,518,701
OSB Group PLC 850,970 5,738,718
Pets at Home Group PLC 272,802 1,759,171
Serco Group PLC 1,457,325 2,625,266
Spirax-Sarco Engineering PLC 6,560 1,319,910
Stock Spirits Group PLC 516,389 2,602,072
Synthomer PLC 739,997 4,961,430
The Restaurant Group PLC * 1,881,359 2,613,996
Vesuvius PLC 404,938 2,641,222
Watches of Switzerland Group PLC 1,* 265,251 3,358,529
WH Smith PLC * 88,054 2,022,068
    77,024,032
Germany — 13.45%
Befesa SA 1 47,959 3,647,465
hGears AG * 35,214 958,568
Hornbach Holding AG & Co. KGaA 44,592 5,781,787
HUGO BOSS AG 72,241 4,327,256
Ibu-Tec Advanced Materials AG * 27,154 1,711,089
PVA TePla AG * 100,833 4,381,813
Scout24 AG 1 38,570 2,671,457
SGL Carbon SE * 217,289 2,355,244
SUESS MicroTec SE * 138,179 3,556,820
TAG Immobilien AG 71,732 2,097,324
VERBIO Vereinigte BioEnergie AG 71,959 4,726,889
zooplus AG * 16,640 9,386,898
    45,602,610
  Shares,
Principal
Amount, or
Number of
Contracts
Value
Denmark — 5.05%
ISS A/S * 187,500 $3,963,158
Matas A/S 265,714 5,008,006
Netcompany Group A/S 1 38,690 4,462,683
Royal Unibrew A/S 30,654 3,687,123
    17,120,970
France — 4.92%
Coface SA 427,050 5,349,026
IPSOS 95,537 4,341,552
Maisons du Monde SA 1 74,281 1,497,543
Virbac SA 12,842 5,506,991
    16,695,112
Switzerland — 4.66%
Belimo Holding AG 5,455 2,879,239
Flughafen Zurich AG * 16,708 2,976,761
Montana Aerospace AG 1,* 78,302 2,792,632
PolyPeptide Group AG 1,* 18,225 2,316,593
Tecan Group AG 8,521 4,826,156
    15,791,381
Austria — 3.06%
AT&S Austria Technologie & Systemtechnik AG 90,286 3,424,604
BAWAG Group AG 1,* 109,649 6,939,315
    10,363,919
Netherlands — 3.04%
Accell Group NV * 51,712 2,296,898
Corbion NV 49,039 2,369,358
OCI NV * 191,530 5,658,472
    10,324,728
Sweden — 2.21%
Elekta AB - B 201,391 2,255,384
Kindred Group PLC 153,049 2,295,124
Mekonomen AB * 165,091 2,941,857
    7,492,365
Spain — 2.09%
Almirall SA 270,751 4,294,589
Indra Sistemas SA * 260,411 2,789,440
    7,084,029
Ireland — 1.91%
Glanbia PLC 260,591 4,297,343
James Hardie Industries PLC 61,577 2,184,211
    6,481,554
Finland — 1.60%
Metso Outotec OYJ 432,477 3,946,835
Tokmanni Group Corp. 60,219 1,464,565
    5,411,400
Belgium — 1.55%
Bekaert SA 36,749 1,528,827
 
Notes to Schedule of Investments are an integral part of this Schedule.
10


Driehaus International Small Cap Growth Fund
Schedule of Investments
September 30, 2021 (unaudited)

  Shares,
Principal
Amount, or
Number of
Contracts
Value
Lotus Bakeries NV 609 $3,738,807
    5,267,634
Poland — 0.98%
CCC SA * 108,765 3,308,208
Iceland — 0.93%
Ossur HF * 450,158 3,148,301
Italy — 0.51%
FinecoBank Banca Fineco SpA * 96,244 1,738,348
Norway — 0.42%
SmartCraft ASA * 569,124 1,416,708
Total EUROPE
(Cost $189,146,668)
  234,271,299
FAR EAST — 13.04%
Japan — 10.62%
Asics Corp. 202,600 4,633,106
ASKUL Corp. 113,150 1,659,144
Capcom Co. Ltd. 48,000 1,333,734
Fujitec Co. Ltd. 151,850 3,537,986
IDOM, Inc. 221,200 1,993,252
MINEBEA MITSUMI, Inc. 85,454 2,176,327
MISUMI Group, Inc. 118,100 5,025,045
Nichias Corp. 71,230 1,737,925
Pola Orbis Holdings, Inc. 149,300 3,436,554
Takeuchi Manufacturing Co. Ltd. 108,700 2,503,423
THK Co. Ltd. 102,723 2,254,138
Tokai Carbon Co. Ltd. 181,400 2,318,920
ZOZO, Inc. 90,500 3,390,583
    36,000,137
Taiwan — 1.10%
Giant Manufacturing Co. Ltd. 328,589 3,725,544
Australia — 0.91%
NEXTDC Ltd. * 364,002 3,100,731
South Korea — 0.41%
Douzone Bizon Co. Ltd. 17,298 1,389,614
Total FAR EAST
(Cost $37,215,727)
  44,216,026
NORTH AMERICA — 10.29%
Canada — 9.64%
Altus Group Ltd. 91,455 4,462,276
Boardwalk REIT 74,774 2,791,775
Converge Technology Solutions Corp. * 551,888 4,514,101
Docebo, Inc. * 51,066 3,728,955
Intertape Polymer Group, Inc. 190,025 4,133,261
K92 Mining, Inc. * 396,854 1,908,133
Kinaxis, Inc. * 42,811 6,176,600
Parkland Corp. 76,023 2,136,159
  Shares,
Principal
Amount, or
Number of
Contracts
Value
TELUS International CDA, Inc. 2,* 54,010 $1,890,890
Tidewater Renewables Ltd. * 84,414 963,703
    32,705,853
Mexico — 0.42%
GCC SAB de CV 190,986 1,427,480
United States — 0.23%
MaxCyte, Inc. * 63,067 769,091
Total NORTH AMERICA
(Cost $32,812,815)
  34,902,424
SOUTH AMERICA — 2.41%
Brazil — 2.41%
Cyrela Brazil Realty SA Empreendimentos e Participacoes 499,400 1,641,511
Embraer SA * 732,400 3,112,103
Iochpe Maxion SA * 1,054,225 3,420,678
    8,174,292
Total SOUTH AMERICA
(Cost $8,016,930)
  8,174,292
MIDDLE EAST — 1.00%
Israel — 1.00%
Kornit Digital Ltd. 2,* 23,477 3,398,061
Total MIDDLE EAST
(Cost $1,373,927)
  3,398,061
Total COMMON STOCKS
(Cost $268,566,067)
  324,962,102
PREFERRED STOCKS — 0.46%
SOUTH AMERICA — 0.46%
Brazil — 0.46%
Azul SA * 233,600 1,561,408
Total SOUTH AMERICA
(Cost $2,180,066)
  1,561,408
Total PREFERRED STOCKS
(Cost $2,180,066)
  1,561,408
 
Notes to Schedule of Investments are an integral part of this Schedule.
11


Driehaus International Small Cap Growth Fund
Schedule of Investments
September 30, 2021 (unaudited)

  Shares,
Principal
Amount, or
Number of
Contracts
  Value
SHORT TERM INVESTMENTS — 3.57%
Northern Institutional U.S. Government Select Portfolio (Shares Class), 0.03% 3
(Cost $12,096,567)
12,096,567   $12,096,567
TOTAL INVESTMENTS
(Cost $282,842,700)
99.86%   $338,620,077
Other Assets In Excess of Liabilities 0.14%   462,010
Net Assets 100.00%   $339,082,087
    
PLC Public Limited Company
REIT Real Estate Investment Trust
SP ADR Sponsored American Depositary Receipt
    
1 Security is exempt from registration under Rule 144A of the Securities Act of 1933, as amended. The total value of these securities is $33,370,203, which represents 10% of Net Assets.
2 Foreign security denominated and/or traded in U.S. dollars.
3 7 day current yield as of September 30, 2021, is disclosed.
* Non-income producing security.
Percentages are stated as a percent of net assets.
Notes to Schedule of Investments are an integral part of this Schedule.
12


Driehaus Micro Cap Growth Fund
Schedule of Investments
September 30, 2021 (unaudited)

  Shares,
Principal
Amount, or
Number of
Contracts
Value
COMMON STOCKS — 99.23%
HEALTH CARE — 30.42%
Biotechnology — 17.95%
Apellis Pharmaceuticals, Inc. * 40,621 $1,338,868
Applied Therapeutics, Inc. * 70,636 1,172,558
Avid Bioservices, Inc. * 187,896 4,052,917
Biomea Fusion, Inc. * 64,128 767,612
C4 Therapeutics, Inc. * 55,728 2,489,927
Celldex Therapeutics, Inc. * 81,140 4,380,748
Centessa Pharmaceuticals PLC - ADR 1,* 77,847 1,300,045
Crinetics Pharmaceuticals, Inc. * 196,319 4,132,515
Cytokinetics, Inc. * 191,924 6,859,364
Day One Biopharmaceuticals, Inc. * 63,534 1,507,662
Dynavax Technologies Corp. * 119,264 2,291,061
Elevation Oncology, Inc. * 47,351 368,864
Imago Biosciences, Inc. * 55,900 1,119,677
Intellia Therapeutics, Inc. * 25,631 3,438,399
IVERIC bio, Inc. * 115,445 1,874,827
Kymera Therapeutics, Inc. * 34,266 2,012,785
MaxCyte, Inc. * 118,730 1,449,693
Merus NV 1,* 79,959 1,759,098
Morphic Holding, Inc. * 33,249 1,883,223
Natera, Inc. * 51,168 5,702,162
Nuvalent, Inc. - A * 94,976 2,141,709
ProQR Therapeutics NV 1,* 263,029 2,201,553
Relay Therapeutics, Inc. * 151,588 4,779,570
SpringWorks Therapeutics,
Inc. *
82,040 5,204,617
VectivBio Holding AG 1,* 66,592 514,423
Xenon Pharmaceuticals, Inc. 1,* 148,945 2,275,880
    67,019,757
Health Care Equipment & Supplies — 4.60%
Alphatec Holdings, Inc. * 228,818 2,789,291
Axonics, Inc. * 55,267 3,597,329
CryoPort, Inc. * 72,724 4,836,873
Cutera, Inc. * 22,518 1,049,339
SeaSpine Holdings Corp. * 138,159 2,173,241
SI-BONE, Inc. * 69,549 1,489,740
Treace Medical Concepts, Inc. * 45,975 1,236,727
    17,172,540
Health Care Technology — 3.36%
Inspire Medical Systems, Inc. * 11,146 2,595,680
OptimizeRx Corp. * 67,043 5,735,529
Phreesia, Inc. * 55,220 3,407,074
Sophia Genetics SA 1,* 45,435 796,476
    12,534,759
Health Care Providers & Services — 2.38%
Castle Biosciences, Inc. * 52,740 3,507,210
  Shares,
Principal
Amount, or
Number of
Contracts
Value
Cross Country Healthcare, Inc. * 180,065 $3,824,581
RadNet, Inc. * 52,639 1,542,849
    8,874,640
Pharmaceuticals — 1.55%
DICE Therapeutics, Inc. * 94,413 3,092,026
EyePoint Pharmaceuticals,
Inc. *
110,643 1,152,900
Revance Therapeutics, Inc. * 56,143 1,564,144
    5,809,070
Life Sciences Tools & Services — 0.58%
NeoGenomics, Inc. * 45,177 2,179,338
Total HEALTH CARE
(Cost $80,976,780)
  113,590,104
INFORMATION TECHNOLOGY — 18.47%
Semiconductors & Semiconductor Equipment — 6.04%
Axcelis Technologies, Inc. * 76,541 3,599,723
Camtek Ltd. 1,* 108,914 4,412,106
Impinj, Inc. * 96,927 5,537,440
SiTime Corp. * 25,842 5,276,161
SMART Global Holdings, Inc. * 41,211 1,833,889
Ultra Clean Holdings, Inc. * 44,950 1,914,870
    22,574,189
Communications Equipment — 4.61%
Aviat Networks, Inc. * 80,076 2,631,297
Calix, Inc. * 141,624 7,000,474
Cambium Networks Corp. * 82,650 2,991,104
Clearfield, Inc. * 65,716 2,901,362
Sierra Wireless, Inc. 1,* 110,072 1,706,116
    17,230,353
Software — 4.28%
ChannelAdvisor Corp. * 220,582 5,565,284
Couchbase, Inc. * 127,726 3,973,556
Docebo, Inc. 1,* 69,424 5,053,373
Kaltura, Inc. * 133,927 1,378,108
    15,970,321
IT Services — 3.54%
Endava PLC - SP ADR 1,* 35,267 4,791,022
Grid Dynamics Holdings, Inc. * 287,885 8,412,000
    13,203,022
Total INFORMATION TECHNOLOGY
(Cost $46,201,348)
  68,977,885
CONSUMER DISCRETIONARY — 16.65%
Hotels, Restaurants & Leisure — 6.14%
Bally's Corp. * 42,240 2,117,914
Everi Holdings, Inc. * 288,112 6,966,548
Full House Resorts, Inc. * 259,990 2,758,494
Golden Entertainment, Inc. * 40,226 1,974,694
 
Notes to Schedule of Investments are an integral part of this Schedule.
13


Driehaus Micro Cap Growth Fund
Schedule of Investments
September 30, 2021 (unaudited)

  Shares,
Principal
Amount, or
Number of
Contracts
Value
Kura Sushi USA, Inc. - A * 34,438 $1,504,252
Lindblad Expeditions Holdings, Inc. * 95,822 1,398,043
NeoGames SA 1,* 79,933 2,935,140
Playa Hotels & Resorts NV * 205,339 1,702,260
Xponential Fitness, Inc. - A * 124,455 1,579,334
    22,936,679
Specialty Retail — 3.09%
Abercrombie & Fitch Co. - A * 40,583 1,527,138
Boot Barn Holdings, Inc. * 83,823 7,449,350
Brilliant Earth Group, Inc. - A * 117,947 1,580,490
The Children's Place, Inc. * 13,085 984,777
    11,541,755
Household Durables — 2.48%
Skyline Champion Corp. * 88,086 5,290,445
The Lovesac Co. * 45,204 2,987,533
VOXX International Corp. * 84,449 966,941
    9,244,919
Internet & Direct Marketing Retail — 1.53%
CarParts.com, Inc. * 94,694 1,478,173
Liquidity Services, Inc. * 103,439 2,235,317
RumbleON, Inc. - B * 50,957 1,986,304
    5,699,794
Auto Components — 1.28%
Modine Manufacturing Co. * 118,613 1,343,885
XPEL, Inc. * 45,484 3,450,416
    4,794,301
Diversified Consumer Services — 0.86%
European Wax Center, Inc. - A * 114,256 3,200,310
Leisure Products — 0.80%
Vista Outdoor, Inc. * 73,952 2,981,005
Distributors — 0.47%
Funko, Inc. - A * 96,517 1,757,575
Total CONSUMER DISCRETIONARY
(Cost $44,159,891)
  62,156,338
INDUSTRIALS — 9.51%
Machinery — 3.17%
Agrify Corp. * 92,778 1,720,104
Chart Industries, Inc. * 22,940 4,384,064
Energy Recovery, Inc. * 94,163 1,791,922
The Shyft Group, Inc. 103,940 3,950,759
    11,846,849
Commercial Services & Supplies — 1.69%
Montrose Environmental Group, Inc. * 87,704 5,414,845
Performant Financial Corp. * 229,357 908,254
    6,323,099
  Shares,
Principal
Amount, or
Number of
Contracts
Value
Aerospace & Defense — 1.62%
Byrna Technologies, Inc. * 59,451 $1,299,599
Embraer SA - SP ADR 1,* 279,602 4,753,234
    6,052,833
Electrical Equipment — 1.24%
Stem, Inc. * 56,150 1,341,424
Vicor Corp. * 24,333 3,264,515
    4,605,939
Construction & Engineering — 0.64%
NV5 Global, Inc. * 24,223 2,387,661
Airlines — 0.60%
Sun Country Airlines Holdings, Inc. * 66,514 2,230,879
Trading Companies & Distributors — 0.55%
Karat Packaging, Inc. * 97,409 2,048,511
Total INDUSTRIALS
(Cost $21,664,111)
  35,495,771
FINANCIALS — 8.50%
Banks — 3.84%
Live Oak Bancshares, Inc. 65,270 4,153,130
Metropolitan Bank Holding Corp. * 42,848 3,612,086
Silvergate Capital Corp. - A * 13,361 1,543,196
Triumph Bancorp, Inc. * 50,261 5,032,634
    14,341,046
Insurance — 2.22%
BRP Group, Inc. - A * 96,501 3,212,518
Goosehead Insurance, Inc. - A 21,454 3,267,230
Midwest Holding, Inc. * 15,174 590,269
Trean Insurance Group, Inc. * 115,907 1,199,637
    8,269,654
Capital Markets — 1.04%
Cowen, Inc. - A 57,518 1,973,442
Open Lending Corp. - A * 52,380 1,889,347
    3,862,789
Thrifts & Mortgage Finance — 0.92%
Meta Financial Group, Inc. 65,763 3,451,242
Holding Companies - Diversified — 0.48%
CM Life Sciences III, Inc. 2,* 172,879 1,802,264
Total FINANCIALS
(Cost $18,340,974)
  31,726,995
CONSUMER STAPLES — 7.75%
Beverages — 3.24%
Celsius Holdings, Inc. * 94,768 8,537,649
The Duckhorn Portfolio, Inc. * 100,655 2,303,993
Zevia PBC - A * 109,837 1,264,224
    12,105,866
 
Notes to Schedule of Investments are an integral part of this Schedule.
14


Driehaus Micro Cap Growth Fund
Schedule of Investments
September 30, 2021 (unaudited)

  Shares,
Principal
Amount, or
Number of
Contracts
Value
Personal Products — 2.63%
BellRing Brands, Inc. - A * 87,382 $2,686,997
The Beauty Health Co. * 220,097 5,715,919
Thorne HealthTech, Inc. * 165,736 1,433,616
    9,836,532
Food Products — 1.35%
Sovos Brands, Inc. * 210,402 2,935,108
SunOpta, Inc. 1,* 233,458 2,084,780
    5,019,888
Tobacco — 0.53%
Turning Point Brands, Inc. 41,383 1,976,038
Total CONSUMER STAPLES
(Cost $17,290,249)
  28,938,324
ENERGY — 5.90%
Oil, Gas & Consumable Fuels — 4.18%
Aemetis, Inc. * 141,010 2,577,663
Bonanza Creek Energy, Inc. 57,629 2,760,429
Energy Fuels, Inc. * 332,473 2,333,960
Green Plains, Inc. * 139,606 4,558,136
Matador Resources Co. 89,065 3,388,033
    15,618,221
Energy Equipment & Services — 1.72%
Aspen Aerogels, Inc. * 139,567 6,421,478
Total ENERGY
(Cost $14,122,991)
  22,039,699
COMMUNICATION SERVICES — 1.30%
Media — 0.85%
Perion Network Ltd. 1,* 183,297 3,176,537
Entertainment — 0.45%
Chicken Soup For The Soul Entertainment, Inc. * 48,399 1,106,885
Motorsport Games, Inc. - A * 40,773 581,423
    1,688,308
Total COMMUNICATION SERVICES
(Cost $5,673,668)
  4,864,845
MATERIALS — 0.73%
Containers & Packaging — 0.73%
Ranpak Holdings Corp. * 102,313 2,744,035
Total MATERIALS
(Cost $2,225,701)
  2,744,035
Total COMMON STOCKS
(Cost $250,655,713)
  370,533,996
  Shares,
Principal
Amount, or
Number of
Contracts
  Value
SHORT TERM INVESTMENTS — 0.78%
Northern Institutional U.S. Government Select Portfolio (Shares Class), 0.03% 3
(Cost $2,924,601)
2,924,601   $2,924,601
TOTAL INVESTMENTS
(Cost $253,580,314)
100.01%   $373,458,597
Liabilities In Excess of Other Assets (0.01)%   (48,940)
Net Assets 100.00%   $373,409,657
    
ADR American Depositary Receipt
PLC Public Limited Company
SP ADR Sponsored American Depositary Receipt
    
1 Foreign security denominated and/or traded in U.S. dollars.
2 Special Purpose Acquisition Company (SPAC).
3 7 day current yield as of September 30, 2021, is disclosed.
* Non-income producing security.
Percentages are stated as a percent of net assets.
 
Notes to Schedule of Investments are an integral part of this Schedule.
15


Driehaus Small Cap Growth Fund
Schedule of Investments
September 30, 2021 (unaudited)

  Shares,
Principal
Amount, or
Number of
Contracts
Value
COMMON STOCKS — 99.49%
INFORMATION TECHNOLOGY — 24.55%
Software — 10.29%
ChannelAdvisor Corp. * 191,458 $4,830,485
CS Disco, Inc. * 46,311 2,220,149
Docebo, Inc. 1,* 85,538 6,226,311
EngageSmart, Inc. * 31,857 1,085,050
Freshworks, Inc. - A * 55,762 2,380,480
Jamf Holding Corp. * 80,721 3,109,373
Monday.com Ltd. 1,* 29,155 9,510,361
Sprout Social, Inc. - A * 63,541 7,748,825
Teradata Corp. * 100,680 5,773,998
Varonis Systems, Inc. * 57,798 3,517,008
Zscaler, Inc. * 20,176 5,290,551
    51,692,591
Semiconductors & Semiconductor Equipment — 9.09%
Ambarella, Inc. * 87,731 13,663,226
Axcelis Technologies, Inc. * 107,965 5,077,594
Lattice Semiconductor Corp. * 131,815 8,521,840
MaxLinear, Inc. * 74,390 3,663,707
SiTime Corp. * 30,936 6,316,203
Synaptics, Inc. * 33,392 6,001,544
Ultra Clean Holdings, Inc. * 56,142 2,391,649
    45,635,763
IT Services — 2.82%
Endava PLC - SP ADR 1,* 46,898 6,371,093
Flywire Corp. * 49,803 2,183,364
Grid Dynamics Holdings, Inc. * 192,402 5,621,986
    14,176,443
Communications Equipment — 2.35%
Calix, Inc. * 164,910 8,151,501
Cambium Networks Corp. * 100,939 3,652,983
    11,804,484
Total INFORMATION TECHNOLOGY
(Cost $88,526,971)
  123,309,281
HEALTH CARE — 23.48%
Biotechnology — 14.11%
Argenx SE - ADR 1,* 10,634 3,211,468
Beam Therapeutics, Inc. * 23,114 2,011,149
Biohaven Pharmaceutical Holding Co. Ltd. * 19,671 2,732,499
Blueprint Medicines Corp. * 27,467 2,823,882
C4 Therapeutics, Inc. * 54,727 2,445,202
Centessa Pharmaceuticals PLC - ADR 1,* 105,019 1,753,817
Crinetics Pharmaceuticals, Inc. * 57,541 1,211,238
Cytokinetics, Inc. * 195,853 6,999,786
Halozyme Therapeutics, Inc. * 140,704 5,723,839
  Shares,
Principal
Amount, or
Number of
Contracts
Value
Intellia Therapeutics, Inc. * 37,050 $4,970,257
Invitae Corp. * 94,318 2,681,461
Kymera Therapeutics, Inc. * 43,224 2,538,978
Mirati Therapeutics, Inc. * 22,245 3,935,363
Morphic Holding, Inc. * 47,345 2,681,621
Natera, Inc. * 84,147 9,377,342
Nuvalent, Inc. - A * 102,313 2,307,158
Relay Therapeutics, Inc. * 195,389 6,160,615
SpringWorks Therapeutics,
Inc. *
115,297 7,314,442
    70,880,117
Life Sciences Tools & Services — 3.85%
Cytek Biosciences, Inc. * 110,894 2,374,241
Maravai LifeSciences Holdings, Inc. - A * 73,447 3,604,779
Medpace Holdings, Inc. * 31,853 6,029,136
NeoGenomics, Inc. * 73,935 3,566,624
Repligen Corp. * 13,084 3,781,145
    19,355,925
Health Care Equipment & Supplies — 2.03%
AtriCure, Inc. * 34,046 2,367,899
Inmode Ltd. 1,* 17,747 2,829,759
Shockwave Medical, Inc. * 24,326 5,008,237
    10,205,895
Health Care Providers & Services — 1.73%
AMN Healthcare Services, Inc. * 75,524 8,666,379
Health Care Technology — 0.93%
Inspire Medical Systems, Inc. * 19,961 4,648,518
Pharmaceuticals — 0.83%
DICE Therapeutics, Inc. * 127,057 4,161,117
Total HEALTH CARE
(Cost $85,769,371)
  117,917,951
INDUSTRIALS — 21.53%
Machinery — 5.89%
Chart Industries, Inc. * 32,656 6,240,888
Evoqua Water Technologies Corp. * 124,599 4,679,938
Gates Industrial Corp. PLC * 327,561 5,329,418
Kornit Digital Ltd. 1,* 53,188 7,698,431
The Shyft Group, Inc. 148,582 5,647,602
    29,596,277
Electrical Equipment — 3.13%
Atkore, Inc. * 51,021 4,434,745
Generac Holdings, Inc. * 9,534 3,896,260
Vicor Corp. * 54,975 7,375,446
    15,706,451
Professional Services — 2.49%
Exponent, Inc. 35,594 4,027,461
First Advantage Corp. * 102,346 1,949,691
 
Notes to Schedule of Investments are an integral part of this Schedule.
16


Driehaus Small Cap Growth Fund
Schedule of Investments
September 30, 2021 (unaudited)

  Shares,
Principal
Amount, or
Number of
Contracts
Value
Korn Ferry 50,747 $3,672,053
Legalzoom.com, Inc. * 107,377 2,834,753
    12,483,958
Commercial Services & Supplies — 2.21%
Clean Harbors, Inc. * 40,824 4,240,389
Montrose Environmental Group, Inc. * 48,914 3,019,950
Tetra Tech, Inc. 25,870 3,863,426
    11,123,765
Trading Companies & Distributors — 2.20%
Core & Main, Inc. - A * 155,873 4,085,431
GMS, Inc. * 30,184 1,322,059
Herc Holdings, Inc. * 34,386 5,620,736
    11,028,226
Road & Rail — 2.04%
Avis Budget Group, Inc. * 46,203 5,383,112
Saia, Inc. * 20,375 4,849,861
    10,232,973
Airlines — 1.09%
Allegiant Travel Co. * 13,705 2,679,053
Sun Country Airlines Holdings, Inc. * 83,204 2,790,662
    5,469,715
Aerospace & Defense — 1.07%
Axon Enterprise, Inc. * 30,719 5,376,439
Construction & Engineering — 0.91%
Ameresco, Inc. - A * 34,361 2,007,713
WillScot Mobile Mini Holdings Corp. * 80,895 2,565,990
    4,573,703
Building Products — 0.50%
Trex Co., Inc. * 24,819 2,529,801
Total INDUSTRIALS
(Cost $83,646,174)
  108,121,308
CONSUMER DISCRETIONARY — 12.53%
Hotels, Restaurants & Leisure — 4.10%
Bally's Corp. * 40,361 2,023,701
Caesars Entertainment, Inc. * 51,698 5,804,651
Dutch Bros, Inc. - A * 69,566 3,013,599
Krispy Kreme, Inc. * 151,983 2,127,762
SeaWorld Entertainment, Inc. * 71,618 3,961,908
Six Flags Entertainment Corp. * 85,395 3,629,287
    20,560,908
Textiles, Apparel & Luxury Goods — 3.01%
Crocs, Inc. * 83,120 11,926,058
Deckers Outdoor Corp. * 8,827 3,179,485
    15,105,543
  Shares,
Principal
Amount, or
Number of
Contracts
Value
Auto Components — 1.29%
Fox Factory Holding Corp. * 18,264 $2,639,879
Gentherm, Inc. * 47,370 3,833,654
    6,473,533
Specialty Retail — 1.25%
Boot Barn Holdings, Inc. * 70,790 6,291,107
Household Durables — 1.25%
Skyline Champion Corp. * 104,133 6,254,228
Leisure Products — 1.13%
Callaway Golf Co. * 105,449 2,913,556
Hayward Holdings, Inc. * 124,773 2,774,952
    5,688,508
Internet & Direct Marketing Retail — 0.50%
Revolve Group, Inc. * 40,813 2,521,019
Total CONSUMER DISCRETIONARY
(Cost $43,588,228)
  62,894,846
FINANCIALS — 4.54%
Banks — 2.27%
Live Oak Bancshares, Inc. 64,484 4,103,117
Triumph Bancorp, Inc. * 73,035 7,312,994
    11,416,111
Capital Markets — 1.72%
CI Financial Corp. 194,901 3,970,133
Open Lending Corp. - A * 69,185 2,495,503
StepStone Group, Inc. - A 50,565 2,156,092
    8,621,728
Insurance — 0.55%
BRP Group, Inc. - A * 82,923 2,760,507
Total FINANCIALS
(Cost $17,025,526)
  22,798,346
CONSUMER STAPLES — 4.50%
Beverages — 3.01%
Celsius Holdings, Inc. * 128,212 11,550,619
The Duckhorn Portfolio, Inc. * 156,709 3,587,069
    15,137,688
Personal Products — 1.02%
The Beauty Health Co. * 197,789 5,136,580
Food Products — 0.47%
Freshpet, Inc. * 16,411 2,341,686
Total CONSUMER STAPLES
(Cost $14,270,916)
  22,615,954
MATERIALS — 3.72%
Metals & Mining — 1.87%
Cleveland-Cliffs, Inc. * 202,407 4,009,682
MP Materials Corp. * 167,351 5,393,723
    9,403,405
 
Notes to Schedule of Investments are an integral part of this Schedule.
17


Driehaus Small Cap Growth Fund
Schedule of Investments
September 30, 2021 (unaudited)

  Shares,
Principal
Amount, or
Number of
Contracts
Value
Chemicals — 1.06%
Livent Corp. * 231,132 $5,341,461
Construction Materials — 0.79%
Summit Materials, Inc. - A * 123,629 3,952,419
Total MATERIALS
(Cost $17,658,320)
  18,697,285
ENERGY — 3.18%
Oil, Gas & Consumable Fuels — 2.47%
Cameco Corp. 116,890 2,540,020
Green Plains, Inc. * 65,320 2,132,698
Magnolia Oil & Gas Corp. - A 263,360 4,685,174
Matador Resources Co. 80,324 3,055,525
    12,413,417
Energy Equipment & Services — 0.71%
Aspen Aerogels, Inc. * 76,633 3,525,884
Total ENERGY
(Cost $13,669,969)
  15,939,301
COMMUNICATION SERVICES — 0.87%
Interactive Media & Services — 0.87%
ZipRecruiter, Inc. - A * 158,579 4,376,780
Total COMMUNICATION SERVICES
(Cost $4,091,945)
  4,376,780
REAL ESTATE — 0.59%
Real Estate Management & Development — 0.59%
eXp World Holdings, Inc. 74,879 2,977,938
Total REAL ESTATE
(Cost $3,703,330)
  2,977,938
Total COMMON STOCKS
(Cost $371,950,750)
  499,648,990
  Shares,
Principal
Amount, or
Number of
Contracts
  Value
SHORT TERM INVESTMENTS — 0.56%
Northern Institutional U.S. Government Select Portfolio (Shares Class), 0.03% 2
(Cost $2,801,801)
2,801,801   $2,801,801
TOTAL INVESTMENTS
(Cost $374,752,551)
100.05%   $502,450,791
Liabilities In Excess of Other Assets (0.05)%   (242,067)
Net Assets 100.00%   $502,208,724
    
ADR American Depositary Receipt
PLC Public Limited Company
SP ADR Sponsored American Depositary Receipt
    
1 Foreign security denominated and/or traded in U.S. dollars.
2 7 day current yield as of September 30, 2021, is disclosed.
* Non-income producing security.
Percentages are stated as a percent of net assets.
 
Notes to Schedule of Investments are an integral part of this Schedule.
18


Driehaus Small/Mid Cap Growth Fund
Schedule of Investments
September 30, 2021 (unaudited)

  Shares,
Principal
Amount, or
Number of
Contracts
Value
COMMON STOCKS — 99.28%
INFORMATION TECHNOLOGY — 30.03%
Software — 13.18%
Bill.com Holdings, Inc. * 1,218 $325,145
Docebo, Inc. 1,* 1,498 109,039
Elastic NV * 1,509 224,826
EngageSmart, Inc. * 1,423 48,467
Five9, Inc. * 942 150,475
Freshworks, Inc. - A * 2,613 111,549
HubSpot, Inc. * 428 289,367
Monday.com Ltd. 1,* 1,495 487,669
Sprout Social, Inc. - A * 2,965 361,582
Teradata Corp. * 4,726 271,036
Varonis Systems, Inc. * 2,737 166,547
Zscaler, Inc. * 2,045 536,240
    3,081,942
Semiconductors & Semiconductor Equipment — 8.62%
Ambarella, Inc. * 4,024 626,698
Enphase Energy, Inc. * 1,122 168,266
Lattice Semiconductor Corp. * 4,694 303,467
Monolithic Power Systems, Inc. 264 127,956
ON Semiconductor Corp. * 5,363 245,464
SiTime Corp. * 1,275 260,317
Synaptics, Inc. * 1,574 282,895
    2,015,063
IT Services — 5.81%
Dlocal Ltd. 1,* 1,459 79,603
Endava PLC - SP ADR 1,* 1,744 236,922
EPAM System, Inc. * 243 138,627
Flywire Corp. * 2,347 102,892
Globant SA 1,* 963 270,613
MongoDB, Inc. * 1,125 530,449
    1,359,106
Communications Equipment — 1.53%
Calix, Inc. * 7,258 358,763
Electronic Equipment, Instruments & Components — 0.89%
Trimble, Inc. * 2,545 209,326
Total INFORMATION TECHNOLOGY
(Cost $5,228,455)
  7,024,200
HEALTH CARE — 24.15%
Biotechnology — 11.79%
Alnylam Pharmaceuticals, Inc. * 794 149,915
Argenx SE - ADR 1,* 600 181,200
Ascendis Pharma A/S - ADR 1,* 487 77,623
Beam Therapeutics, Inc. * 1,121 97,538
Biohaven Pharmaceutical Holding Co. Ltd. * 927 128,769
Blueprint Medicines Corp. * 1,201 123,475
  Shares,
Principal
Amount, or
Number of
Contracts
Value
Exact Sciences Corp. * 929 $88,673
Halozyme Therapeutics, Inc. * 4,810 195,671
Horizon Therapeutics PLC * 1,101 120,603
Intellia Therapeutics, Inc. * 1,388 186,200
Invitae Corp. * 4,034 114,687
Kymera Therapeutics, Inc. * 2,174 127,701
Mirati Therapeutics, Inc. * 1,048 185,402
Moderna, Inc. * 362 139,319
Natera, Inc. * 3,640 405,642
Relay Therapeutics, Inc. * 3,609 113,792
SpringWorks Therapeutics,
Inc. *
5,075 321,958
    2,758,168
Life Sciences Tools & Services — 5.21%
Bio-Techne Corp. 645 312,548
Maravai LifeSciences Holdings, Inc. - A * 3,175 155,829
Medpace Holdings, Inc. * 1,403 265,560
NeoGenomics, Inc. * 3,584 172,892
PerkinElmer, Inc. 664 115,064
Repligen Corp. * 679 196,224
    1,218,117
Health Care Equipment & Supplies — 3.90%
AtriCure, Inc. * 1,520 105,716
Figs, Inc. - A * 2,639 98,013
Globus Medical, Inc. - A * 1,474 112,938
Insulet Corp. * 1,057 300,431
Shockwave Medical, Inc. * 1,440 296,467
    913,565
Health Care Providers & Services — 1.82%
AMN Healthcare Services, Inc. * 3,702 424,805
Health Care Technology — 0.80%
Inspire Medical Systems, Inc. * 808 188,167
Pharmaceuticals — 0.63%
Arvinas, Inc. * 1,784 146,609
Total HEALTH CARE
(Cost $4,852,829)
  5,649,431
INDUSTRIALS — 18.87%
Machinery — 4.71%
Chart Industries, Inc. * 1,137 217,292
Gates Industrial Corp. PLC * 13,603 221,321
Kornit Digital Ltd. 1,* 2,214 320,454
Nordson Corp. 498 118,599
The Middleby Corp. * 1,321 225,244
    1,102,910
Electrical Equipment — 3.55%
Acuity Brands, Inc. 661 114,598
Generac Holdings, Inc. * 401 163,877
Regal Beloit Corp. 1,191 179,055
 
Notes to Schedule of Investments are an integral part of this Schedule.
19


Driehaus Small/Mid Cap Growth Fund
Schedule of Investments
September 30, 2021 (unaudited)

  Shares,
Principal
Amount, or
Number of
Contracts
Value
Vicor Corp. * 2,771 $371,757
    829,287
Trading Companies & Distributors — 2.20%
Core & Main, Inc. - A * 8,835 231,565
United Rentals, Inc. * 511 179,325
Watsco, Inc. 388 102,673
    513,563
Road & Rail — 1.88%
Avis Budget Group, Inc. * 2,137 248,982
Old Dominion Freight Line, Inc. 666 190,463
    439,445
Professional Services — 1.36%
Exponent, Inc. 1,778 201,180
Legalzoom.com, Inc. * 4,462 117,797
    318,977
Air Freight & Logistics — 1.13%
GXO Logistics, Inc. * 1,674 131,308
XPO Logistics, Inc. * 1,674 133,217
    264,525
Aerospace & Defense — 1.12%
Axon Enterprise, Inc. * 1,495 261,655
Construction & Engineering — 1.03%
Quanta Services, Inc. 1,051 119,625
WillScot Mobile Mini Holdings Corp. * 3,794 120,345
    239,970
Commercial Services & Supplies — 0.78%
Tetra Tech, Inc. 1,226 183,091
Building Products — 0.64%
Trex Co., Inc. * 1,464 149,225
Airlines — 0.47%
Alaska Air Group, Inc. * 1,896 111,106
Total INDUSTRIALS
(Cost $3,504,432)
  4,413,754
CONSUMER DISCRETIONARY — 13.14%
Textiles, Apparel & Luxury Goods — 4.28%
Crocs, Inc. * 3,902 559,859
Deckers Outdoor Corp. * 550 198,110
On Holding AG - A 1,* 3,365 101,387
Under Armour, Inc. - A * 7,005 141,361
    1,000,717
Specialty Retail — 2.55%
Lithia Motors, Inc. - A 437 138,547
RH * 273 182,066
Ulta Beauty, Inc. * 765 276,104
    596,717
  Shares,
Principal
Amount, or
Number of
Contracts
Value
Hotels, Restaurants & Leisure — 2.53%
Caesars Entertainment, Inc. * 3,030 $340,208
SeaWorld Entertainment, Inc. * 2,384 131,883
Vail Resorts, Inc. * 355 118,588
    590,679
Auto Components — 1.09%
Fox Factory Holding Corp. * 774 111,874
Gentherm, Inc. * 1,778 143,894
    255,768
Household Durables — 0.83%
Skyline Champion Corp. * 3,245 194,895
Distributors — 0.82%
LKQ Corp. * 3,814 191,920
Internet & Direct Marketing Retail — 0.57%
Revolve Group, Inc. * 2,141 132,250
Leisure Products — 0.47%
Callaway Golf Co. * 4,007 110,713
Total CONSUMER DISCRETIONARY
(Cost $2,329,560)
  3,073,659
MATERIALS — 3.71%
Metals & Mining — 1.73%
Cleveland-Cliffs, Inc. * 9,810 194,336
MP Materials Corp. * 6,493 209,269
    403,605
Chemicals — 1.26%
Albemarle Corp. 1,350 295,610
Construction Materials — 0.72%
Summit Materials, Inc. - A * 5,301 169,473
Total MATERIALS
(Cost $786,417)
  868,688
FINANCIALS — 3.00%
Banks — 2.43%
Signature Bank 1,058 288,072
SVB Financial Group * 433 280,099
    568,171
Consumer Finance — 0.57%
Upstart Holdings, Inc. * 420 132,905
Total FINANCIALS
(Cost $484,207)
  701,076
COMMUNICATION SERVICES — 2.66%
Interactive Media & Services — 2.18%
Snap, Inc. - A * 4,147 306,339
ZipRecruiter, Inc. - A * 7,367 203,329
    509,668
 
Notes to Schedule of Investments are an integral part of this Schedule.
20


Driehaus Small/Mid Cap Growth Fund
Schedule of Investments
September 30, 2021 (unaudited)

  Shares,
Principal
Amount, or
Number of
Contracts
  Value
Entertainment — 0.48%
Roku, Inc. * 358   $112,179
Total COMMUNICATION SERVICES
(Cost $394,082)
    621,847
ENERGY — 1.94%
Oil, Gas & Consumable Fuels — 1.94%
Cameco Corp. 1 10,910   237,074
Diamondback Energy, Inc. 2,293   217,079
      454,153
Total ENERGY
(Cost $427,679)
    454,153
CONSUMER STAPLES — 1.78%
Beverages — 1.30%
Celsius Holdings, Inc. * 3,361   302,792
Personal Products — 0.48%
Olaplex Holdings, Inc. * 4,588   112,406
Total CONSUMER STAPLES
(Cost $334,161)
    415,198
Total COMMON STOCKS
(Cost $18,341,822)
    23,222,006
SHORT TERM INVESTMENTS — 1.07%
Northern Institutional Government Portfolio (Shares), 0.00% 2
(Cost $249,753)
249,753   249,753
TOTAL INVESTMENTS
(Cost $18,591,575)
100.35%   $23,471,759
Liabilities In Excess of Other Assets (0.35)%   (82,175)
Net Assets 100.00%   $23,389,584
    
ADR American Depositary Receipt
PLC Public Limited Company
SP ADR Sponsored American Depositary Receipt
    
1 Foreign security denominated and/or traded in U.S. dollars.
2 7 day current yield as of September 30, 2021, is disclosed.
* Non-income producing security.
Percentages are stated as a percent of net assets.
Notes to Schedule of Investments are an integral part of this Schedule.
21


Driehaus Event Driven Fund
Schedule of Investments
September 30, 2021 (unaudited)

  Shares,
Principal
Amount, or
Number of
Contracts
Value
CONVERTIBLE CORPORATE BONDS — 0.35%
Healthcare - Products — 0.35%
Progenity, Inc. 
7.25%, 12/1/25 1
$1,073,000 $685,949
Total CONVERTIBLE CORPORATE BONDS
(Cost $1,116,101)
  685,949
CORPORATE BONDS — 15.82%
Auto Manufacturers — 2.90%
Mclaren Finance PLC 
7.50%, 8/1/26 1,2,3
5,659,000 5,728,323
Diversified Financial Services — 2.19%
Home Point Capital, Inc. 
5.00%, 2/1/26 1
2,826,000 2,561,826
ILFC E-Capital Trust I 
3.46%, 12/21/65 1,2,4,5,6
2,189,000 1,773,090
    4,334,916
Entertainment — 3.41%
Cinemark USA, Inc. 
5.25%, 7/15/28 1,2
6,838,000 6,735,430
Lodging — 1.76%
Arrow Bidco LLC 
9.50%, 3/15/24 1,2
3,410,000 3,478,200
Oil & Gas — 0.86%
Transocean Pontus Ltd. (Cayman Islands) 
6.12%, 8/1/25 1,3
1,698,450 1,698,450
Retail — 1.96%
Guitar Center, Inc. 
8.50%, 1/15/26 1,2
3,600,000 3,861,000
Trucking & Leasing — 2.74%
Fortress Transportation and Infrastructure Investors LLC 
9.75%, 8/1/27 1,2
4,787,000 5,421,277
Total CORPORATE BONDS
(Cost $30,723,863)
  31,257,596
COMMON STOCKS — 68.66%
Auto Parts & Equipment — 1.99%
Holley, Inc. * 328,935 3,927,484
Banks — 8.25%
Blue Foundry Bancorp * 259,703 3,581,304
Eastern Bankshares, Inc. 2 262,717 5,333,155
HarborOne Bancorp, Inc. 2 244,682 3,435,335
Kearny Financial Corp./MD 2 317,055 3,940,994
    16,290,788
Biotechnology — 11.97%
Ascendis Pharma A/S - ADR 2,3,* 13,514 2,153,996
Crinetics Pharmaceuticals, Inc. * 198,889 4,186,613
DICE Therapeutics, Inc. * 77,220 2,528,955
  Shares,
Principal
Amount, or
Number of
Contracts
Value
Elevation Oncology, Inc. * 366,813 $2,857,476
Relay Therapeutics, Inc. 2,* 159,345 5,024,148
Sema4 Holdings Corp. * 112,852 856,547
SpringWorks Therapeutics,
Inc. *
45,000 2,854,800
Trillium Therapeutics, Inc. 3,* 181,633 3,189,476
    23,652,011
Computers — 0.15%
iCAD, Inc. * 27,444 295,023
Diversified Financial Services — 1.86%
Enact Holdings, Inc. * 102,880 2,256,158
OppFi, Inc. * 180,494 1,418,683
    3,674,841
Engineering & Construction — 2.71%
WillScot Mobile Mini Holdings Corp. * 168,662 5,349,959
Entertainment — 4.16%
Golden Entertainment, Inc. 2,* 167,294 8,212,463
Healthcare - Products — 2.11%
Alphatec Holdings, Inc. * 57,772 704,241
Invitae Corp. * 124,795 1,546,210
Itamar Medical Ltd. - SP ADR 3,* 15,477 467,715
SeaSpine Holdings Corp. * 91,750 1,443,227
    4,161,393
Healthcare - Services — 2.03%
SomaLogic, Inc. * 141,171 4,013,492
Holding Companies - Diversified — 16.02%
Class Acceleration Corp. - A 7,* 108,472 1,054,348
CM Life Sciences III, Inc. - A 7,* 133,400 1,323,328
Corazon Capital V838 Monoceros Corp. - A 7,* 189,734 1,840,420
DA32 Life Science Tech Acquisition Corp. - A 7,* 256,200 2,518,446
EJF Acquisition Corp. - A 7,* 330,122 3,255,003
First Light Acquisition Group, Inc. 7,* 386,250 3,839,325
Flag U Founders 3,7,* 24,357
Jack Creek Investment Corp. - A 7,* 302,994 2,954,191
L&F Acquisition Corp. - A 7,* 185,742 1,857,420
Live Oak Mobility Acquisition Corp. - A 7,* 174,459 1,687,019
Logistics Innovation Technologies Corp. - A 7,* 192,225 1,853,049
Longview Acquisition Corp. II - A 7,* 257,100 2,542,719
Senior Connect Acquisition Corp. I - A 7,* 190,710 1,863,237
Tekkorp Digital Acquisition Corp. - A 7,* 189,734 1,863,188
 
Notes to Schedule of Investments are an integral part of this Schedule.
22


Driehaus Event Driven Fund
Schedule of Investments
September 30, 2021 (unaudited)

  Shares,
Principal
Amount, or
Number of
Contracts
Value
Thayer Ventures Acquisition Corp. - A 7,* 71,467 $722,531
Tishman Speyer Innovation Corp. II - A 7,* 184,448 1,807,590
Z-Work Acquisition Corp. - A 7,* 67,660 659,008
    31,640,822
Media — 1.41%
Altice USA, Inc. - A 2,* 134,395 2,784,664
Metal Fabricate/Hardware — 2.23%
Hillman Solutions Corp. * 368,616 4,397,589
Pharmaceuticals — 3.92%
Curaleaf Holdings, Inc. * 133,228 1,605,397
Cytokinetics, Inc. 2,* 159,882 5,714,183
Merus NV 3,* 19,476 428,472
    7,748,052
Real Estate (REIT's) — 2.01%
Equity Commonwealth 2 152,840 3,970,783
Savings & Loans — 1.74%
Berkshire Hills Bancorp, Inc. 127,683 3,444,887
Telecommunications — 3.25%
Telephone and Data Systems, Inc. 157,504 3,071,328
T-Mobile US, Inc. 2,* 26,294 3,359,322
    6,430,650
Transportation — 2.85%
Air Transport Services Group, Inc. * 127,400 3,288,194
XPO Logistics, Inc. 2,* 29,442 2,342,994
    5,631,188
Total COMMON STOCKS
(Cost $121,382,715)
  135,626,089
PRIVATE INVESTMENT IN PUBLIC EQUITY (PIPES) — 1.86%
Healthcare - Products — 0.83%
SomaLogic, Inc.  *   1,630,524
Holding Companies - Diversified — 0.77%
CM Life Sciences III, Inc. - A  *   1,527,303
Biotechnology — 0.26%
Sema4 Holdings Corp.  *   508,530
Total PRIVATE INVESTMENT IN PUBLIC EQUITY (PIPES)
(Cost $3,525,620)
  3,666,357
MASTER LIMITED PARTNERSHIPS — 1.06%
Trucking & Leasing — 1.06%
Fortress Transportation and Infrastructure Investors LLC 82,424 2,091,921
Total MASTER LIMITED PARTNERSHIPS
(Cost $1,745,819)
  2,091,921
  Shares,
Principal
Amount, or
Number of
Contracts
Value
PREFERRED STOCKS — 3.05%
Retail — 1.37%
Qurate Retail, Inc.
8.00%, 3/15/31 8
25,000 $2,703,750
Telecommunications — 1.68%
Telephone and Data Systems, Inc.
6.63%, 8
22,999 611,544
Telephone and Data Systems, Inc.
6.00%, 8
107,525 2,715,006
    3,326,550
Total PREFERRED STOCKS
(Cost $5,761,776)
  6,030,300
WARRANTS — 0.52%
Class Acceleration Corp., Exp 3/31/2028, Strike $11.50 * 54,236 31,725
CM Life Sciences III, Inc., Exp 12/21/2028, Strike $11.50 * 26,680 57,095
Corazon Capital V838 Monoceros Corp., Exp 12/31/2028, Strike $11.50 * 53,713 40,822
Deep Lake Capital Acquisition Corp., Exp 12/31/2027, Strike $11.50 * 10,795 8,179
EJF Acquisition Corp., Exp 12/31/2027, Strike $11.50 * 110,040 180,466
Jack Creek Investment Corp., Exp 12/31/2027, Strike $11.50 * 151,497 92,565
L&F Acquisition Corp., Exp 5/23/2027, Strike $11.50 * 65,250 38,824
Live Oak Mobility Acquisition Corp., Exp 3/4/2028, Strike $11.50 * 34,891 29,657
Logistics Innovation Technologies Corp., Exp 6/15/2028, Strike $11.50 * 64,075 56,713
Longview Acquisition Corp. II, Exp 5/10/2026, Strike $11.50 * 45,820 59,149
Montes Archimedes Acquisition Corp., Exp 12/31/2025, Strike $11.50 * 117,200 174,628
Senior Connect Acquisition Corp., Exp 12/31/2027, Strike $11.50 * 62,919 44,672
SomaLogic, Inc., Exp 12/31/2027, Strike $11.50 * 22,690 78,280
Tekkorp Digital Acquisition Corp., Exp 01/24/2025, Strike $11.50 * 59,550 53,000
Thayer Ventures Acquisition Corp., Exp 1/1/2030, Strike $11.50 * 35,733 41,093
 
Notes to Schedule of Investments are an integral part of this Schedule.
23


Driehaus Event Driven Fund
Schedule of Investments
September 30, 2021 (unaudited)

  Shares,
Principal
Amount, or
Number of
Contracts
  Value
Tishman Speyer Innovation Corp., Exp 12/31/2027, Strike $11.50 * 36,889   $30,987
X4 Pharmaceuticals, Inc., Exp 04/12/2024, Strike $13.20 * 5,547   1,109
Z-Work Acquisition Corp., Exp 12/31/2027, Strike $11.50 * 22,553   14,434
Total WARRANTS
(Cost $0)
    1,033,398
SHORT TERM INVESTMENTS — 7.30%
Northern Institutional Treasury Portfolio (Premier Class), 0.01% 9
(Cost $14,410,481)
14,410,481   14,410,481
TOTAL INVESTMENTS
(Cost $178,666,375)
98.62%   $194,802,091
Other Assets In Excess of Liabilities 1.38%   2,728,343
Net Assets 100.00%   $197,530,434
INVESTMENT SECURITIES SOLD SHORT — (19.27)%
EXCHANGE-TRADED FUNDS — (19.27)%
ARK Genomic Revolution ETF * (61,461)   (4,592,366)
iShares Biotechnology ETF (28,860)   (4,666,085)
SPDR S&P Biotech ETF (161,214)   (20,266,212)
SPDR S&P Regional Banking ETF (126,055)   (8,540,226)
Total EXCHANGE-TRADED FUNDS
(Proceeds $38,373,922)
    (38,064,889)
TOTAL INVESTMENT SECURITIES SOLD SHORT
(Proceeds $38,373,922)
(19.27)%   $(38,064,889)
    
ADR American Depositary Receipt
PLC Public Limited Company
SP ADR Sponsored American Depositary Receipt
    
1 Security is exempt from registration under Rule 144A of the Securities Act of 1933, as amended. The total value of these securities is $31,943,545, which represents 16% of Net Assets.
2 All or a portion of this security is pledged as collateral for short sales or derivatives transactions.
3 Foreign security denominated and/or traded in U.S. dollars.
4 The coupon rate equals 155 basis points plus the highest of the LIBOR 3 Month, the Constant Maturity Treasury 10 year rate, and the Constant Maturity Treasury 30 year rate, with a maximum of 12.95%.
5 Perpetual security. Maturity date shown is the next call date or final legal maturity date, whichever comes first.
6 Variable rate security. Rates disclosed as of September 30, 2021.
7 Special Purpose Acquisition Company (SPAC).
8 Current yield is disclosed. Dividends are calculated based on a percentage of the issuer’s net income.
9 7 day current yield as of September 30, 2021, is disclosed.
* Non-income producing security.
Percentages are stated as a percent of net assets.
 
Notes to Schedule of Investments are an integral part of this Schedule.
24


Driehaus Mutual Funds
Notes to Schedule of Investments (unaudited)

A. SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES
Securities Valuation
Investments in securities traded on a national securities exchange, including exchange-traded futures and options, are valued at the last reported sales or settlement price on the day of valuation and are generally classified as level 1. North and South American exchange-traded securities for which no sale was reported are valued at the most recent closing bid price from the exchange the security is primarily traded on and are generally classified as level 1. All other exchange-traded securities for which no sale was reported are valued at the mean between closing bid and ask prices from the exchange the security is primarily traded on and are also generally classified as level 1. Equity certificates are valued at the last sale price of the underlying security as of the close of the primary exchange. Long-term U.S. fixed income securities are valued at the representative quoted bid price when held long or the representative quoted ask price if sold short or, if such prices are not available, at prices for securities of comparable maturity, quality and type or as determined by an independent pricing service. Long-term non-U.S. fixed income securities are valued at the mean of the representative quoted bid and ask prices when held long or sold short or, if such prices are not available, at prices for securities of comparable maturity, quality and type or as determined by an independent pricing service. The pricing service provider may employ methodologies that utilize actual market transactions, broker-dealer supplied valuations or other techniques. Such techniques generally consider factors such as composite security prices, yields, maturities, call features, credit ratings and developments relating to specific securities, in arriving at valuations. Fixed income securities are generally classified as level 2. The fair value analysis includes an analysis of the value of any unfunded commitments.
Short-term investments with remaining maturities of 60 days or less at the time of purchase are stated at amortized cost, which approximates fair value. If amortized cost does not approximate fair value, short-term securities are reported at fair value. These securities are generally classified as level 2. Swaps, forward foreign currency contracts and other financial derivatives are valued daily, primarily by an independent pricing service using pricing models and are generally classified as level 2. The pricing models use inputs that are observed from actively quoted markets such as issuer details, indices, spreads, interest rates, yield curves, dividends and exchange rates. If valuations are not available from the independent pricing service or values received are deemed not representative of fair value, values will be obtained from a third-party broker-dealer or counterparty. Investments initially valued in currencies other than the U.S. dollar are converted to the U.S. dollar using exchange rates obtained from an independent pricing service. In addition, for the Emerging Markets Growth Fund, Emerging Markets Small Cap Growth, Emerging Markets Opportunities Fund, and International Small Cap Growth Fund, if quotations are not readily available, if the values have been materially affected by events occurring after the closing of a foreign market, or if there has been a movement in the U.S. market that exceeds a certain threshold, assets may be valued at fair value as determined in good faith by or under the direction of the Trust’s Board of Trustees. Events that may materially affect asset values that could cause a fair value determination include, but are not limited to: corporate announcements relating to a specific security; natural and other disasters which may impact an entire market or region; and political and other events which may be global or impact a particular country or region. The frequency with which these procedures are used cannot be predicted and may be utilized to a significant extent. To the extent utilized, securities would be classified as level 2 in the hierarchy described below.
Securities for which market quotations are not readily available are valued at fair value as determined in good faith in accordance with procedures established by or under the direction of the Trust’s Board of Trustees and are generally classified as level 3. Under these procedures, the Funds primarily employ a market-based approach, which may use related or comparable assets or liabilities, recent transactions, market multiples, book values and other relevant information for the investment to determine the fair value of the investment. In addition, level 3 investments in certain early stage companies may be valued based upon initial transaction prices with management conducting ongoing assessments to determine whether new information is available to support a fair value adjustment. The information management may consider in its ongoing assessments may include, but are not limited to, actual or upcoming financing or third-party sale transactions, current or forecasted performance, or regulatory approval status updates. It is possible that estimated values may differ significantly from the values that would have been used had a ready market existed for the investments, and such differences could be material.
Each Fund is subject to fair value accounting standards that define fair value, establish the framework for measuring fair value and provide a three-level hierarchy for fair valuation based upon the inputs to the valuation as of the measurement date. The three levels of the fair value hierarchy are as follows:
25


Driehaus Mutual Funds
Notes to Schedule of Investments (unaudited) — (Continued)

Level 1 – quoted prices for active markets for identical securities
Level 2 – significant observable inputs (including quoted prices for similar securities, interest rates, prepayment speeds, credit risk, etc.)
Level 3 – significant unobservable inputs (including the Fund’s own assumptions in determining the fair value of investments).
The following is a summary of the inputs used to value the Emerging Markets Growth Fund’s investments as of September 30, 2021:
Assets   Total
Value at
September 30, 2021
  Level 1
Quoted
Price
  Level 2
Significant
Observable
Inputs
  Level 3
Significant
Unobservable
Inputs
Common Stocks                
Africa   $16,892,458   $16,892,458   $   $
Europe                
Denmark   12,249,732     12,249,732  
France   22,805,155     22,805,155  
Germany   10,474,400     10,474,400  
Greece   8,950,418     8,950,418  
Hungary   35,361,224     35,361,224  
Netherlands   40,069,128     40,069,128  
Russia   149,960,421   59,932,840   90,027,581  
Far East                
China   625,165,213   62,761,614   562,403,599  
India   401,644,620   100,840,589   300,804,031  
Indonesia   46,387,167     46,387,167  
Malaysia   12,702,724     12,702,724  
Philippines   4,738,178     4,738,178  
Singapore   32,549,664   32,549,664    
South Korea   207,173,973   4,919,081   202,254,892  
Taiwan   213,013,902   150,640,636   62,373,266  
Turkey   10,508,291     10,508,291  
Vietnam   9,999,066     9,999,066  
Middle East   11,838,330     11,838,330  
North America   278,487,491   278,487,491    
South America   145,891,912   145,891,912    
Short Term Investments   158,099,910   158,099,910    
Total   $2,454,963,377   $1,011,016,195   $1,443,947,182   $
26


Driehaus Mutual Funds
Notes to Schedule of Investments (unaudited) — (Continued)

The following is a summary of the inputs used to value the Emerging Markets Small Cap Growth Fund’s investments as of September 30, 2021:
Assets   Total
Value at
September 30, 2021
  Level 1
Quoted
Price
  Level 2
Significant
Observable
Inputs
  Level 3
Significant
Unobservable
Inputs
Common Stocks                
Europe                
Poland   $1,584,971   $1,584,971   $   $
Russia   784,847   784,847    
United Kingdom   769,193     769,193  
Far East                
China   21,422,899     21,422,899  
India   31,749,769   1,992,216   29,757,553  
Indonesia   3,768,118     3,768,118  
Kazakhstan   2,980,475   1,941,818   1,038,657  
Malaysia   848,710     848,710  
South Korea   5,953,998     5,953,998  
Taiwan   8,058,637     8,058,637  
Thailand   1,686,765     1,686,765  
Turkey   1,027,081     1,027,081  
Vietnam   7,109,145   1,353,348   5,755,797  
North America                
Canada   1,324,804   1,324,804    
Mexico   2,486,225   2,486,225    
United States   1,915,714   835,443   1,080,271  
South America   11,172,087   11,172,087    
Rights                
Far East   91,222     91,222  
Short Term Investments   7,729,227   7,729,227    
Total   $112,463,887   $31,204,986   $81,258,901   $
27


Driehaus Mutual Funds
Notes to Schedule of Investments (unaudited) — (Continued)

The following is a summary of the inputs used to value the Emerging Markets Opportunities Fund’s investments as of September 30, 2021:
Assets   Total
Value at
September 30, 2021
  Level 1
Quoted
Price
  Level 2
Significant
Observable
Inputs
  Level 3
Significant
Unobservable
Inputs
Common Stocks                
Argentina   $398,018   $398,018   $   $
Brazil   1,164,100   1,164,100    
Canada   389,110   389,110    
China   11,304,055   1,457,561   9,846,494  
Czech Republic   817,779     817,779  
France   574,774     574,774  
India   6,423,580   1,550,507   4,873,073  
Indonesia   1,269,286     1,269,286  
Japan   767,722     767,722  
Kazakhstan   1,126,316   728,877   397,439  
Malaysia   342,692     342,692  
Mexico   604,177   604,177    
Netherlands   654,423     654,423  
Russia   2,573,734   756,332   1,817,402  
Saudi Arabia   562,189     562,189  
Singapore   884,794   884,794    
South Korea   5,855,464   34,084   5,821,380  
Taiwan   6,332,875     6,332,875  
United States   3,561,748   3,561,748    
Uruguay   923,722   923,722    
Preferred Stocks   520,123   520,123    
Short Term Investments   1,759,590   1,759,590    
Sovereign Bonds   9,462,680     9,462,680  
Total   $58,272,951   $14,732,743   $43,540,208   $
The following is a summary of the inputs used to value the International Small Cap Growth Fund’s investments as of September 30, 2021:
Assets   Total
Value at
September 30, 2021
  Level 1
Quoted
Price
  Level 2
Significant
Observable
Inputs
  Level 3
Significant
Unobservable
Inputs
Common Stocks                
Europe                
Austria   $10,363,919   $   $10,363,919   $
Belgium   5,267,634   3,738,807   1,528,827  
Denmark   17,120,970   5,008,006   12,112,964  
Finland   5,411,400     5,411,400  
France   16,695,112     16,695,112  
Germany   45,602,610   12,056,555   33,546,055  
Iceland   3,148,301   3,148,301    
Ireland   6,481,554     6,481,554  
Italy   1,738,348     1,738,348  
Netherlands   10,324,728     10,324,728  
Norway   1,416,708     1,416,708  
28


Driehaus Mutual Funds
Notes to Schedule of Investments (unaudited) — (Continued)

Assets   Total
Value at
September 30, 2021
  Level 1
Quoted
Price
  Level 2
Significant
Observable
Inputs
  Level 3
Significant
Unobservable
Inputs
Poland   $3,308,208   $   $3,308,208   $
Spain   7,084,029     7,084,029  
Sweden   7,492,365   2,941,857   4,550,508  
Switzerland   15,791,381     15,791,381  
United Kingdom   77,024,032   36,144,083   40,879,949  
Far East   44,216,026     44,216,026  
Middle East   3,398,061   3,398,061    
North America   34,902,424   34,902,424    
South America   8,174,292   8,174,292    
Preferred Stocks                
South America   1,561,408   1,561,408    
Short Term Investments   12,096,567   12,096,567    
Total   $338,620,077   $123,170,361   $215,449,716   $
The following is a summary of the inputs used to value the Micro Cap Growth Fund’s investments as of September 30, 2021:
Assets*   Total
Value at
September 30, 2021
  Level 1
Quoted
Price
  Level 2
Significant
Observable
Inputs
  Level 3
Significant
Unobservable
Inputs
Common Stocks   $370,533,996   $370,533,996   $   $
Short Term Investments   2,924,601   2,924,601    
Total   $373,458,597   $373,458,597   $  $
    
 * See Schedule of Investments for industry breakout.
The following is a summary of the inputs used to value the Small Cap Growth Fund’s investments as of September 30, 2021:
Assets*   Total
Value at
September 30, 2021
  Level 1
Quoted
Price
  Level 2
Significant
Observable
Inputs
  Level 3
Significant
Unobservable
Inputs
Common Stocks   $499,648,990   $499,648,990   $   $
Short Term Investments   2,801,801   2,801,801    
Total   $502,450,791   $502,450,791   $  $
    
 * See Schedule of Investments for industry breakout.
The following is a summary of the inputs used to value the Small/Mid Cap Growth Fund’s investments as of September 30, 2021:
Assets*   Total
Value at
September 30, 2021
  Level 1
Quoted
Price
  Level 2
Significant
Observable
Inputs
  Level 3
Significant
Unobservable
Inputs
Common Stocks   $23,222,006   $23,222,006   $   $
29


Driehaus Mutual Funds
Notes to Schedule of Investments (unaudited) — (Continued)

Assets*   Total
Value at
September 30, 2021
  Level 1
Quoted
Price
  Level 2
Significant
Observable
Inputs
  Level 3
Significant
Unobservable
Inputs
Short Term Investments   $249,753   $249,753   $   $
Total   $23,471,759   $23,471,759   $  $
    
 * See Schedule of Investments for industry breakout.
The following is a summary of the inputs used to value the Event Driven Fund’s investments as of September 30, 2021:
Assets   Total
Value at
September 30, 2021
  Level 1
Quoted
Price
  Level 2
Significant
Observable
Inputs
  Level 3
Significant
Unobservable
Inputs
Common Stocks                
Auto Parts & Equipment   $3,927,484   $3,927,484   $   $
Banks   16,290,788   16,290,788    
Biotechnology   23,652,011   23,652,011    
Computers   295,023   295,023    
Diversified Financial Services   3,674,841   3,674,841    
Engineering & Construction   5,349,959   5,349,959    
Entertainment   8,212,463   8,212,463    
Healthcare - Products   4,161,393   4,161,393    
Healthcare - Services   4,013,492   4,013,492    
Holding Companies - Diversified   31,640,822   27,947,353   3,693,469  
Media   2,784,664   2,784,664    
Metal Fabricate/Hardware   4,397,589   4,397,589    
Pharmaceuticals   7,748,052   7,748,052    
Real Estate (REIT's)   3,970,783   3,970,783    
Savings & Loans   3,444,887   3,444,887    
Telecommunications   6,430,650   6,430,650    
Transportation   5,631,188   5,631,188    
Convertible Corporate Bonds   685,949     685,949  
Corporate Bonds   31,257,596     31,257,596  
Master Limited Partnerships   2,091,921   2,091,921    
Preferred Stocks   6,030,300   6,030,300    
Private Investment In Public Equity (PIPES)   3,666,357   3,666,357    
Short Term Investments   14,410,481   14,410,481    
Warrants   1,033,398   945,919   87,479  
Total   $194,802,091   $159,077,598   $35,724,493   $
    
Liabilities                
Exchange-Traded Funds Sold Short   $(38,064,889)   $(38,064,889)   $   $
Total   $(38,064,889)   $(38,064,889)   $  $
30


Driehaus Mutual Funds
Notes to Schedule of Investments (unaudited) — (Continued)

The following is a reconciliation of Level 3 assets for which significant unobservable inputs were used to determine fair value in the Event Driven Fund:
  Investments,
at Value
Balance as of December 31, 2020  $2,960,500
Realized gain (loss)
Change in net unrealized appreciation (depreciation) 357,592
Purchases 1,316,000
Sales
Transfers in and/or out of Level 3 (4,634,092)
Balance as of September 30, 2021  $
As of September 30, 2021, none of the Funds held Level 3 assets.
Securities Sold Short
The Event Driven Fund is engaged in selling securities short, which obligates it to replace a borrowed security by purchasing it at market price at the time of replacement. The Fund incurs a loss if the price of the security increases between the date of the short sale and the date on which the Fund replaces the borrowed security. The Fund realizes a gain if the price of the security declines between those dates. Gains are limited to the price at which the Fund sold the security short, while losses are potentially unlimited in size.
The Fund is required to establish a margin account with the broker lending the security sold short. While the short sale is outstanding, the broker retains the proceeds of the short sale and the Fund must maintain a deposit with the broker consisting of cash and securities having a value equal to a specified percentage of the value of the securities sold short.
Foreign Currency Spot Contracts
The Funds enter into foreign currency spot contracts to facilitate transactions in foreign currency denominated securities. These spot contracts are typically open for 2 to 5 days, depending on the settlement terms of the underlying security transaction. On September 30, 2021, the Funds had foreign currency spot contracts outstanding under which they are obligated to exchange currencies at specified future dates. The net unrealized appreciation or depreciation on spot contracts is reflected as receivable for investment securities sold or payable for investment securities purchased.
Foreign Currency Translation
The value of securities, currencies and other assets and liabilities not denominated in U.S. dollars are translated into U.S. dollar values based upon the current rates of exchange on the date of the Funds’ valuations.
Net realized foreign exchange gains or losses which are reported by the Funds result from currency gains and losses on transaction hedges arising from changes in exchange rates between the trade and settlement dates on forward contract transactions, and the difference between the amounts accrued for dividends, interest, and foreign taxes and the amounts actually received or paid in U.S. dollars for these items. Net unrealized foreign exchange gains and losses result from changes in the U.S. dollar value of assets and liabilities (other than investments in securities), which are denominated in foreign currencies, as a result of changes in exchange rates.
Net realized gain (loss) on foreign currency contracts on portfolio hedges result from the use of forward contracts to hedge portfolio positions denominated or quoted in a particular currency in order to reduce or limit exposure in that currency.
The Funds do not isolate that portion of the results of operations which results from fluctuations in foreign exchange rates on investments. These fluctuations are included with the net realized gain (loss) on investments and the net change in unrealized appreciation (depreciation) on investments.
31


Driehaus Mutual Funds
Notes to Schedule of Investments (unaudited) — (Continued)

Recent Accounting Pronouncements
In March 2020, the FASB issued ASU 2020-04, Reference Rate Reform (Topic 848) “Facilitation of the Effects of Reference Rate Reform on Financial Reporting” (“ASU 2020-04”), which provides optional temporary financial reporting relief from the effect of certain types of contract modifications due to the planned discontinuation of the London Interbank Offered Rate (“LIBOR”) and other interbank-offered based reference rates as of the end of 2021. The new guidance is effective for certain reference rate-related contract modifications that occur during the period March 12, 2020 through December 31, 2022, and the adoption of ASU 2020-04 is elective. Management is currently evaluating the impact, if any, of applying ASU 2020-04.
In October 2020, the FASB issued ASU 2020-08, "Codification Improvements to Subtopic 310-20, Receivables - Nonrefundable Fees and Other Costs" ("ASU 2020-08"). This ASU amends FASB ASU 2017-08, Premium Amortization on Purchased Callable Debt Securities, which provides guidance related to the amortization period for certain purchase callable debt securities held at a premium. ASU 2020-08 addresses premium amortization for callable debt securities with multiple call dates, clarifying that an entity should reevaluate whether a callable debt security purchased at a premium is in scope for each reporting period. ASU 2020-08 is effective for fiscal years, and interim periods within those fiscal years, beginning after December 15, 2020, and should be applied on a prospective basis as of the beginning of the period of adoption for existing or newly purchased debt securities. At this time, management is still evaluating the implications of these changes on the financial statements.
Securities Transactions, Income and Commitments
The Trust records security transactions on trade date. Dividend income is recognized on the ex-dividend date, and interest income is recognized on an accrual basis. Premiums on securities are amortized over the period remaining until first call date, if any, or if none, the remaining life of the security and discounts are accreted over the remaining life of the security for financial reporting purposes. Withholding taxes on foreign dividends and interest have been provided for in accordance with the Trust’s understanding of the applicable country’s tax rules and rates.
Pursuant to the terms of certain of the senior unsecured loan agreements, certain Funds may have unfunded loan commitments, which are callable on demand. Each such Fund will have available with its custodian, cash and/or liquid securities having an aggregate value at least equal to the amount of the unfunded senior loan commitments. At September 30, 2021, the Funds had no unfunded senior loan commitments.
Certain Funds may invest in early-stage companies that may require additional contributions or funding if certain performance milestones are met. Management continuously assesses whether these companies will achieve these performance milestones and considers the impact of these commitments as they become due. Additionally, in connection with certain investments a Fund may provide commitments for future investments. At September 30, 2021, the Funds had no such outstanding commitments.
B. INVESTMENTS IN DERIVATIVES
Certain Funds use derivative instruments such as swaps, futures, options, swaptions, and forward foreign currency contracts in connection with their respective investment strategies. During the period January 1, 2021, through September 30, 2021, the Emerging Markets Opportunities Fund primarily utilized: 1) interest rate swaps to hedge against interest rate fluctuation and enable the parties involved to exchange fixed and floating cash flows; and 2) forward foreign currency contracts to manage currency risk in portfolio holdings. During the period January 1, 2021, through September 30, 2021, the Event Driven Fund primarily utilized: 1) options, including warrants, to both hedge exposure and provide exposure to certain market segments or specific securities; and 2) forward foreign currency contracts to manage currency risk in portfolio holdings. Detail regarding each derivative type is included below.
Swap Contracts
The Emerging Markets Opportunities Fund and Event Driven Fund engage in various swap transactions, including forward rate agreements and interest rate, currency, volatility, index, and total return swaps, primarily to manage duration and yield curve risk, or as alternatives to direct investments. Swaps that are centrally cleared are exposed to the creditworthiness of the clearing organizations (and, consequentially, that of their members generally, banks and
32


Driehaus Mutual Funds
Notes to Schedule of Investments (unaudited) — (Continued)

broker-dealers) involved in the transaction. Centrally cleared swaps are valued daily and unrealized gains or losses are recorded in a variation margin account. The Fund receives from or pays to the clearing organization a specified amount of cash based upon changes in the variation margin account. When a contract is closed, the Fund recognizes a realized gain or loss.
Interest rate swaps are agreements between two parties to exchange cash flows based on a notional principal amount. A Fund may elect to pay a fixed rate and receive a floating rate or receive a fixed rate and pay a floating rate on a notional principal amount. The net interest received or paid on interest rate swap agreements is accrued daily as interest income/expense. Interest rate swaps are marked-to-market daily using fair value estimates provided by an independent pricing service. Changes in value, including accrued interest, are recorded as changes in net unrealized appreciation (depreciation). Unrealized appreciation is reported as an asset and unrealized depreciation is reported as a liability. Gains or losses are realized upon termination of the contracts. The risk of loss under a swap contract may exceed the amount recorded as an asset or a liability.
Total return swap contracts are arrangements to exchange a market or security linked return for a periodic payment, based on a notional principal amount, in order to hedge sector exposure and to manage exposure to specific sectors or industries and/or to gain exposure to specific markets/countries and to specific sectors/industries. To the extent that the total return of the security, index, or other financial measure underlying the transaction exceeds or falls short of the offsetting interest rate obligation, the Fund will receive a payment from or make a payment to the counterparty. Total return swap contracts are marked to market daily based upon quotations from market makers and the change, if any, is recorded as a change in net unrealized appreciation (depreciation). Unrealized appreciation is reported as an asset and unrealized depreciation is reported as a liability. Payments received or made are recorded as realized gains or losses. Gains or losses are realized upon termination of the contracts. Each Fund’s maximum risk of loss from counterparty risk is the fair value of the contract.
Volatility swaps are forward contracts on the future realized volatility of an underlying instrument. Volatility swaps are generally used to speculate on future volatility levels, trade the spread between realized and implied volatility or hedge volatility exposure of other positions. Changes in value are recorded as changes in net unrealized appreciation (depreciation). Unrealized gains are reported as an asset and unrealized losses are reported as a liability. Gains or losses are realized upon termination of the contracts. The risk of loss under a volatility swap contract is dependent upon the volatility of the underlying instrument.
Under the terms of a credit default swap, one party acts as a guarantor receiving a periodic payment that is a fixed percentage applied to a notional amount. In return, the party agrees to purchase the notional amount of the underlying instrument, at par, if a credit event occurs during the term of the contract. A Fund may enter into credit default swaps in which the Fund acts as guarantor (a seller of protection), and may enter into credit default swaps in which the counterparty acts as guarantor (a buyer of protection). Premiums paid to or by the Funds are accrued daily and included in net realized gain (loss) on swap contracts. The contracts are marked-to-market daily using fair value estimates provided by an independent pricing service. Changes in value are recorded as unrealized appreciation (depreciation). Unrealized gains are reported as an asset and unrealized losses are reported as a liability. Gains or losses are realized upon termination of the contracts. The risk of loss under a swap contract may exceed the amount recorded as an asset or a liability. The notional amount of a swap contract is the reference amount pursuant to which the counterparties make payments. For swaps in which the referenced obligation is an index, in the event of default of any debt security included in the corresponding index, the Fund pays or receives the percentage of the corresponding index that the defaulted security comprises (1) multiplied by the notional value and (2) multiplied by the ratio of one minus the ratio of the market value of the defaulted debt security to its par value.
Risks associated with swap contracts include changes in the returns of underlying instruments and/or interest rates, failure of the counterparties to perform under the contracts’ terms and the possible lack of liquidity with respect to the contracts. For centrally cleared swap contracts, counterparty risk is limited due to the role of the clearinghouse. Credit default swaps can involve greater risks than if an investor had invested in the reference obligation directly since, in addition to general market risks, credit default swaps are subject to counterparty credit risk, leverage risk, hedging risk, correlation risk, and liquidity risk. The Funds disclose swap contracts on a gross basis, with no netting of contracts held with the same counterparty.
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Driehaus Mutual Funds
Notes to Schedule of Investments (unaudited) — (Continued)

Options Contracts
The Funds may use options contracts, which include warrants, to hedge downside risk, produce incremental earnings or protect against market changes in the value of equities or interest rates. The Funds may write covered call and put options on futures, swaps, securities, or currencies the Funds own or in which they may invest. Writing put options tends to increase a Fund’s exposure to the underlying instrument. Writing call options tends to decrease a Fund’s exposure to the underlying instrument. When a Fund writes a call or put option, an amount equal to the premium received is recorded as a liability and subsequently marked to market to reflect the current value of the option written. These liabilities are reflected as written options outstanding in the Schedule of Investments. Premiums received from writing options that expire are treated as realized gains. Premiums received from writing options that are exercised or closed are added to the proceeds or offset against amounts paid on the underlying future, swap, security or currency transaction to determine the realized gain or loss. A Fund, as a writer of an option, has no control over whether the underlying future, swap, security, or currency may be sold (call) or purchased (put) and, as a result, bears the market risk of an unfavorable change in the price of the future, swap, security, or currency underlying the written option. The risk exists that a Fund may not be able to enter into a closing transaction because of an illiquid market. In addition, to the extent a Fund purchases an over-the-counter (“OTC”) option, it is subject to credit risk that the counterparty to the trade does not perform under the contract’s terms. The Funds are not subject to credit risk on OTC options written as the counterparty has already performed its obligation by paying the premium at the inception of the contract.
The Funds may also purchase put and call options. Purchasing call options tends to increase a Fund’s exposure to the underlying instrument. Purchasing put options tends to decrease a Fund’s exposure to the underlying instrument. A Fund pays a premium, which is included in its Schedule of Investments as an investment and subsequently marked-to-market to reflect the current value of the option. Premiums paid for purchasing options that expire are treated as realized losses. The risk associated with purchasing put and call options is limited to the premium paid. Premiums paid for purchasing options that are exercised or closed are added to the amounts paid or offset against the proceeds on the underlying future, swap, security or currency transaction to determine the realized gain or loss. When entering into purchased option contracts, a Fund bears the risk of securities prices moving unexpectedly, in which case, a Fund may not achieve the anticipated benefits of the purchased option contracts; however, the risk of loss is limited to the premium paid.
Forward Foreign Currency Contracts
Certain Funds use forward foreign currency contracts to manage foreign currency, to produce incremental earnings or to hedge existing positions. A forward foreign currency contract involves an obligation to purchase or sell a specific currency at a future date, which may be any fixed number of days from the date of the contract agreed upon by the parties, at a price set at the time of the contract. These contracts are principally traded in the inter-bank market conducted directly between currency traders (usually large commercial banks) and their customers.
The market value of a forward foreign currency contract fluctuates with changes in currency exchange rates. Outstanding forward foreign currency contracts are valued daily at current market rates and the resulting change in market value is recorded as change in net unrealized appreciation or depreciation. When a forward foreign currency contract is settled, the Fund records a realized gain or loss equal to the difference between the value at the time the forward foreign currency contract was opened and the value at the time it was settled. A forward foreign currency contract may involve market risk in excess of the unrealized appreciation (depreciation). In addition, the Funds could be exposed to credit risk if the counterparties are unable or unwilling to meet the terms of the contracts or market risk if the value of the foreign currency changes unfavorably.
Equity Certificates
Certain Funds may invest in equity certificates, which allow the Funds to participate in the appreciation (depreciation) of the underlying security without actually owning the underlying security. These instruments are purchased pursuant to an agreement with a financial institution and are valued at a calculated market price based on the value of the underlying security in accordance with the agreement. These equity certificates are subject to the credit risk of the issuing financial institution. There is no off-balance sheet risk associated with equity certificates and the Funds’ potential loss is limited to the purchase price of the securities. The Funds are exposed to credit risk associated with the counterparty to the transaction, which is monitored by the Funds’ management on a periodic basis. A Fund’s equity certificates are not subject to any master netting agreement.
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Driehaus Mutual Funds
Notes to Schedule of Investments (unaudited) — (Continued)

C. FOREIGN INVESTMENT RISKS
To the extent a Fund invests in foreign securities, it may entail risks due to the potential for political and economic instability in the countries where the issuers of these securities are located. In addition, foreign exchange fluctuations could affect the value of positions held. These risks are generally intensified in emerging markets.
D. SUBSEQUENT EVENTS
Events or transactions that occurred after the date of this report through the date the report was issued have been evaluated for potential impact to the financial statements. Other than as presented below, there are no subsequent events that require recognition or disclosure in the financial statements.
As previously disclosed in the Proxy Statement for the Funds, dated May 12, 2021, an interim advisory agreement (“Interim Advisory Agreement”) was put in place with DCM on March 9, 2021 (the “Effective Date”) following a technical change in control which was caused by the death of DCM’s Chairman and controlling owner. The Interim Advisory Agreement terminated following the approval of a new investment advisory agreement between the Trust and DCM by the shareholders of the Funds on July 1, 2021.
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