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Artisan Global Discovery Fund Holdings

As of 30 September 2020

Portfolio Holdings Quantity Security Name/Description Price Book Total Market Value Book Pct Assets (%) 61,633 Advanced Micro Devices Inc 81.99 5,053,289.67 2.40 1,115 Adyen NV 1,842.86 2,054,785.76 0.98 11,245 Allegro.eu SA 11.12 125,093.13 0.06 47,964 Aluflexpack AG 26.70 1,280,523.22 0.61 40,677 Ameren Corp 79.08 3,216,737.16 1.53 13,195 Arista Networks Inc 206.93 2,730,441.35 1.30 37,090 Ascendis Pharma A/S 154.32 5,723,728.80 2.72 25,854 Atlassian Corp PLC 181.79 4,699,998.66 2.24 136 Belimo Holding AG 7,552.34 1,027,118.03 0.49 39,307 Blackline Inc 89.63 3,523,086.41 1.68 137,264 Boston Scientific Corp 38.21 5,244,857.44 2.49 99,644 Burberry Group PLC 20.02 1,995,090.27 0.95 15,339 Burlington Stores Inc 206.09 3,161,214.51 1.50 47,843 Centene Corp 58.33 2,790,682.18 1.33 31,532 Ceridian HCM Holding Inc 82.65 2,606,119.80 1.24 5,803 Cintas Corp 332.83 1,931,412.49 0.92 166,141 Clarivate PLC 30.99 5,148,709.59 2.45 40,197 Cognex Corp 65.10 2,616,824.70 1.24 17,749 Cree Inc 63.74 1,131,321.26 0.54 28,674 CTS Eventim AG & Co KGaA 48.37 1,387,055.43 0.66 5,189 DexCom Inc 412.23 2,139,061.47 1.02 243,627 E.ON SE 11.05 2,691,755.32 1.28 4,470 Eurofins Scientific SE 791.64 3,538,616.24 1.68 47,571 SE 26.46 1,258,689.63 0.60 24,951 First Republic Bank 109.06 2,721,156.06 1.29 56,389 Fortive Corp 76.21 4,297,405.69 2.04 13,860 Genmab A/S 363.11 5,032,736.97 2.39 20,003 AG 111.90 2,238,285.33 1.06 46,806 Global Payments Inc 177.58 8,311,809.48 3.95 29,434 Guidewire Software Inc 104.27 3,069,083.18 1.46 129,608 Halozyme Therapeutics Inc 26.28 3,406,098.24 1.62 28,800 Hoya Corp 112.72 3,246,325.84 1.54 59,871 IHS Markit Ltd 78.51 4,700,472.21 2.24 90,498 Ingersoll Rand Inc 35.60 3,221,728.80 1.53 10,070 IPG Photonics Corp 169.97 1,711,597.90 0.81 34,328 Koninklijke DSM NV 164.80 5,657,112.32 2.69 123,872 Lattice Semiconductor Corp 28.96 3,587,333.12 1.71 896,500 Li Ning Co Ltd 4.69 4,206,715.90 2.00 44,970 London Stock Exchange Group PLC 114.40 5,144,603.32 2.45 5,470 Lonza Group AG 617.28 3,376,523.01 1.61 9,114 Morningstar Inc 160.61 1,463,799.54 0.70 259,300 Notre Dame Intermedica Participacoes SA 11.60 3,009,060.20 1.43 23,443 Novanta Inc 105.34 2,469,485.62 1.17 15,000 Obic Co Ltd 175.95 2,639,325.00 1.26 43,459 Ollie's Bargain Outlet Holdings Inc 87.35 3,796,143.65 1.81 50,990 Pagseguro Digital Ltd 37.71 1,922,832.90 0.91 44,350 SE 90.10 3,996,010.82 1.90 51,928 RWE AG 37.49 1,946,848.93 0.93 110,353 Sichuan Teway Food Group Co Ltd 9.64 1,064,275.95 0.51 25,987 Skyworks Solutions Inc 145.50 3,781,108.50 1.80 16,151 Take-Two Interactive Software Inc 165.22 2,668,468.22 1.27 500,900 Techtronic Industries Co Ltd 13.15 6,586,662.75 3.13 19,569 Teledyne Technologies Inc 310.21 6,070,499.49 2.89 Artisan Global Discovery Fund Holdings

As of 30 September 2020

Portfolio Holdings Quantity Security Name/Description Price Book Total Market Value Book Pct Assets (%) 76,215 The New York Times Co 42.79 3,261,239.85 1.55 37,419 Tradeweb Markets Inc 58.00 2,170,302.00 1.03 14,825 Varta AG 140.43 2,081,885.36 0.99 24,225 Veeva Systems Inc 281.19 6,811,827.75 3.24 38,821 Vestas Wind Systems A/S 161.81 6,281,488.81 2.99 8,521 Zoom Video Communications Inc 470.11 4,005,807.31 1.91 13,043 Zscaler Inc 140.69 1,835,019.67 0.87 7,195 Zur Rose Group AG 238.08 1,713,010.42 0.81 557,886 Zynga Inc 9.12 5,087,920.32 2.42 Total Equity Securities 205,668,222.95 97.82

Total Portfolio Holdings 205,668,222.95 97.82 Other Assets Less Liabilities* 4,573,848.85 2.18 Total Net Assets $210,242,071.80 100.00%

*Other Assets Less Liabilities include Cash, Cash Equivalents and/or Currency Derivatives, which may include unrealized gains/losses from foreign exchange contracts. Source: Artisan Partners. All figures are presented in USD unless otherwise noted. Information in this report includes all classes of shares. The Fund's portfolio holdings are as of the date indicated and are subject to change without notice. The listing of holdings does not constitute investment advice or a recommendation of any individual security. This listing is for informational purposes only and may not be identical to the official books and records of the Fund. Security names may not represent the official legal corporate name. Please refer to the Fund's most recent Annual Report for an audited portfolio holdings list. If applicable, SEDOL information sourced from the London Stock Exchange SEDOL Masterfile. This material is provided for informational purposes without regard to your particular investment needs. This material shall not be construed as investment or tax advice on which you may rely for your investment decisions. Investors should consult their financial and tax adviser before making investments in order to determine the appropriateness of any investment product discussed herein. We expressly confirm that neither Artisan Partners nor its affiliates have made or are making an investment recommendation, or have provided or are providing investment advice of any kind whatsoever (whether impartial or otherwise), in connection with any decision to hire Artisan Partners as an investment adviser, invest in or remain invested in any funds to which we serve as investment adviser or otherwise engage with Artisan Partners in a business relationship. Carefully consider the Fund’s investment objective, risks and charges and expenses. This and other important information is contained in the Fund's prospectus and summary prospectus, which can be obtained by calling 800.399.1770. Read carefully before investing. Artisan Partners Funds offered through Artisan Partners Distributors LLC, member FINRA. © 2020 Artisan Partners. All rights reserved.