DRIEHAUS CAPITAL MANAGEMENT LLC Q4 2025 Filing

Filed February 17, 2026

Portfolio Value

$14.7B

Holdings

404

Report Date

Q4 2025

Filing Type

13F-HR

All Holdings (404 positions)

#StockSharesValue% PortfolioType
201
VIKViking Holdings Ltd
293,790$21.0B142.50%
202
ALNTAllient Inc
387,147$20.8B141.35%
203
NBIXNeurocrine Biosciences Inc
145,561$20.6B140.23%
204
ARAntero Resources Corp
583,249$20.1B136.52%
205
LPZBLightPath Technologies Inc
1,842,100$19.9B135.13%
206
VISNCommScope Holding Co Inc
1,087,304$19.7B133.89%
207
BLDTopBuild Corp
46,776$19.5B132.55%
208
ROKURoku Inc
179,485$19.5B132.26%
209
PRLBProto Labs Inc
382,155$19.3B131.32%
210
WMSAdvanced Drainage Systems Inc
132,677$19.2B130.52%
211
EFREnergy Fuels Inc/Canada
1,316,473$19.1B130.02%
212
AMPXAmprius Technologies Inc
2,393,212$18.9B128.26%
213
SXIStandex International Corp
86,578$18.8B127.77%
214
IM8NInsmed Inc
105,617$18.4B124.85%
215
NPNeptune Insurance Holdings Inc
620,152$18.1B122.83%
216
ASTSAST SpaceMobile Inc
246,363$17.9B121.54%
217
ANDGAndersen Group Inc
688,666$17.9B121.29%
218
AGYSAgilysys Inc
149,286$17.7B120.51%
219
AAOIApplied Optoelectronics Inc
507,473$17.7B120.16%
220
OPLNOPENLANE Inc
588,120$17.5B118.96%
221
51AAmerican Public Education Inc
458,854$17.3B117.81%
222
FEIMFrequency Electronics Inc
313,029$16.9B114.47%
223
CHRWCH Robinson Worldwide Inc
102,804$16.5B112.25%
224
QXOQXO Inc
851,019$16.4B111.51%
225
TCMDTactile Systems Technology Inc
565,642$16.4B111.42%
226
DLTRDollar Tree Inc
133,329$16.4B111.40%
227
AFRMAffirm Holdings Inc
217,252$16.2B109.84%
228
HLIOHelios Technologies Inc
295,499$15.8B107.36%
229
MAZEMaze Therapeutics Inc
378,015$15.7B106.38%
230
GKDGrand Canyon Education Inc
93,994$15.6B106.18%
231
STNEStoneCo Ltd
1,038,406$15.4B104.32%
232
GRDNGuardian Pharmacy Services Inc
506,475$15.2B103.51%
233
PGENPrecigen Inc
3,601,674$15.1B102.25%
234
EX9Exelixis Inc
337,339$14.8B100.43%
235
AMRCAmeresco Inc
504,658$14.8B100.40%
236
GMEDGlobus Medical Inc
167,762$14.6B99.49%
237
TATTTAT Technologies Ltd
323,773$14.5B98.21%
238
LCIILCI Industries
119,071$14.4B98.14%
239
BWBabcock & Wilcox Enterprises I
2,275,156$14.4B97.98%
240
WWayfair Inc
143,638$14.4B97.96%
241
CELHCelsius Holdings Inc
315,133$14.4B97.91%
242
AMSCAmerican Superconductor Corp
499,984$14.4B97.74%
243
CPSCooper-Standard Holdings Inc
437,267$14.4B97.51%
244
ULTAUlta Beauty Inc
23,697$14.3B97.38%
245
FTKFlotek Industries Inc
830,602$14.3B97.21%
246
ARGXArgenx SE
16,897$14.2B96.52%
247
PLNTPlanet Fitness Inc
130,423$14.1B96.09%
248
FSLYFastly Inc
1,384,967$14.1B95.76%
249
PODDInsulet Corp
49,372$14.0B95.32%
250
ALSNAllison Transmission Holdings
143,119$14.0B95.17%
251
DXPEDXP Enterprises Inc/TX
126,326$13.9B94.21%
252
TDUPThredUp Inc
2,162,600$13.8B93.87%
253
TDYTeledyne Technologies Inc
27,026$13.8B93.75%
254
JBIOJade Biosciences Inc
887,179$13.7B92.98%
255
CGNTCognyte Software Ltd
1,433,197$13.5B91.51%
256
XZOExzeo Group Inc
548,432$13.3B90.33%
257
IFSIntercorp Financial Services I
312,103$13.2B89.80%
258
PSIXPower Solutions International
229,120$13.1B88.92%
259
LBRTLiberty Energy Inc
707,513$13.1B88.71%
260
SWIMLatham Group Inc
2,045,782$13.0B88.24%
261
LTHLife Time Group Holdings Inc
488,327$13.0B88.16%
262
ABCLAbCellera Biologics Inc
3,771,999$12.9B87.62%
263
INCYIncyte Corp
128,384$12.7B86.13%
264
LAURLaureate Education Inc
375,002$12.6B85.76%
265
CDNLCardinal Infrastructure Group
508,093$12.3B83.45%
266
KMTSKestra Medical Technologies Lt
463,061$12.3B83.41%
267
SHLSShoals Technologies Group Inc
1,400,869$11.9B80.88%
268
GENIGenius Sports Ltd
1,047,820$11.5B78.43%
269
UCTTUltra Clean Holdings Inc
453,630$11.5B78.05%
270
DSGNDesign Therapeutics Inc
1,179,817$11.1B75.17%
271
LINCLincoln Educational Services C
443,031$10.7B72.67%
272
WTWisdomTree Inc
875,774$10.7B72.51%
273
INODInnodata Inc
206,817$10.5B71.57%
274
HUTHut 8 Corp
217,624$10.0B67.91%
275
UTIUniversal Technical Institute
369,026$9.6B65.49%
276
MAMAMama's Creations Inc
708,458$9.6B64.92%
277
RLMDRelmada Therapeutics Inc
1,880,006$9.1B61.68%
278
GWREGuidewire Software Inc
43,287$8.7B59.10%
279
POWLPowell Industries Inc
26,912$8.6B58.27%
280
VITLVital Farms Inc
257,178$8.2B55.79%
281
LINDLindblad Expeditions Holdings
567,906$8.2B55.62%
282
HLMNHillman Solutions Corp
930,045$8.1B54.71%
283
APLDApplied Digital Corp
321,371$7.9B53.53%
284
ASAmer Sports Inc
205,343$7.7B52.09%
285
ATATAtour Lifestyle Holdings Ltd
193,558$7.6B51.80%
286
KFIIK&F Growth Acquisition Corp II
725,185$7.5B50.93%
287
TDWTidewater Inc
148,026$7.5B50.78%
288
AGXArgan Inc
23,830$7.5B50.71%
289
BRCBBlack Rock Coffee Bar Inc
335,369$7.5B50.68%
290
BEAGBold Eagle Acquisition Corp
678,279$7.2B48.74%
291
PTRNPattern Group Inc
618,861$7.1B48.51%
292
PSTGPure Storage Inc
106,289$7.1B48.38%
293
OACCOaktree Acquisition Corp III L
670,072$7.1B48.38%
294
ONCBeOne Medicines Ltd
23,213$7.1B47.90%
295
TARAProtara Therapeutics Inc
1,259,427$6.7B45.59%
296
USOUnited States Antimony Corp
1,293,548$6.5B44.10%
297
CNNECannae Holdings Inc
410,421$6.5B43.85%
298
WSCWillScot Holdings Corp
320,487$6.0B40.99%
299
BSFAANI Pharmaceuticals Inc
76,180$6.0B40.84%
300
TBBBBBB Foods Inc
179,971$6.0B40.82%
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