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Total Holdings – Equity, Fixed Income, and Asset Allocation Funds

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Wells Fargo Advantage Common Stock Fund

Holdings as of 4/30/2013
Portfolio holdings are subject to change and may have changed since the date specified.

This information should not be construed as a recommendation, offer or solicitation for the purchase or sale of any security or financial instrument. Securities lending collateral positions are not included.

Security CUSIP Ticker Amount
Wells Fargo Advantage Cash Investment Money Market Fund9499999G3N/A$97,025,272.42
Capella Education Company139594105CPLA$21,714,408.10
Arch Capital Group LimitedG0450A105ACGL$19,310,338.04
ON Semiconductor Corporation682189105ONNN$19,238,544.72
Republic Services Incorporated760759100RSG$18,825,042.24
Universal Health Services Incorporated913903100UHS$18,153,765.80
Utilities Select Sector Spdr Fund81369Y886XLU$17,887,236.78
Interpublic Group of Cos.460690100IPG$17,886,691.44
Grand Canyon Education Incorporated38526M106LOPE$17,885,345.62
Global Payments Incorporated37940X102GPN$17,270,729.60
Nuance Communications67020Y100NUAN$17,224,764.48
Crown Holdings Incorporated228368106CCK$16,832,863.96
Express Incorporated30219E103EXPR$16,646,125.20
Hersha Hospitality Trust427825104HT$16,543,610.20
GATX Corporation361448103GMT$16,506,628.15
PAREXEL International Corporation699462107PRXL$16,426,232.55
DFC Global Corporation23324T107DLLR$16,404,903.00
Hologic Incorporated436440101HOLX$16,319,649.57
Ann Incorporated Common Stock Usd.0068035623107ANN$16,265,521.58
Cameron International Corporation13342B105CAM$16,263,910.45
Diebold Incorporated253651103DBD$16,246,547.91
Riverbed Technology Incorporated768573107RVBD$16,176,402.82
Babcock + Wilcox Company Common Stock Usd.0105615F102BWC$16,107,105.60
Noble CorporationH5833N103NE$16,058,362.50
SPX Corporation784635104SPW$16,057,277.55
Integrated Device Technology458118106IDTI$16,004,517.57
Steelcase Incorporated858155203SCS$15,986,290.10
Avis Budget Group053774105CAR$15,917,632.36
Perkinelmer Incorporated714046109PKI$15,821,039.60
Ryder Systems Incorporated783549108R$15,628,959.80
CareFusion Corporation14170T101CFN$15,563,678.24
DENTSPLY International Incorporated249030107XRAY$15,429,417.85
Red Hat Incorporated756577102RHT$15,392,336.06
Molex Incorporated-Cl A608554200MOLXA$15,370,567.38
Alaska Air Group Inccommon011659109ALK$15,368,454.64
Biomed Property Trust Incorporated09063H107BMR$15,291,808.34
Xilinx Incorporated983919101XLNX$15,283,037.40
RenaissanceRe Holdings LimitedG7496G103RNR$15,239,192.01
Campus Crest Communities Incorporated Reit13466Y105CCG$15,221,611.20
Petsmart Inc716768106PETM$15,051,423.84
Market Vectors Etf Tr Gold Miners Etf Fd57060U100GDX$14,887,724.28
Amdocs LimitedG02602103DOX$14,803,076.40
Newfield Exploration Company651290108NFX$14,768,041.76
Waddell & Reed Financial Incorporated930059100WDR$14,694,592.77
Trimble Navigation Limited896239100TRMB$14,687,749.44
Harman International Industries413086109HAR$14,652,987.14
Royal Caribbean Cruises LimitedV7780T103RCL$14,474,683.73
Alliance Data Systems Corporation018581108ADS$14,228,224.41
Cognizant Technology Solutions Corporation192446102CTSH$14,191,200.00
Albemarle Corporation012653101ALB$14,121,922.50
National Bank Hold-cl A633707104NBHC$14,092,308.30
CNO Financial Group Incorporated12621E103CNO$13,985,022.32
Tibco Software Incorporated88632Q103TIBX$13,984,633.26
International Flavors & Fragrances Incorporated459506101IFF$13,777,720.29
Gartner Incorporated366651107IT$13,665,384.85
Packaging Corp of America695156109PKG$13,510,083.84
Helmerich & Payne Incorporated423452101HP$13,415,304.24
Spdr S+p Midcap 400 Etf Trust Spdr S+p Midcap 400 Etf Trus78467Y107MDY$13,370,856.66
Varian Medical Systems Incorporated92220P105VAR$13,279,896.38
Forest Oil Corporation346091705FST$13,252,140.38
Wabash National Corporation929566107WNC$13,056,051.89
Reinsurance Group of America Incorporated759351604RGA$13,028,789.70
Urban Outfitters Incorporated917047102URBN$12,888,171.52
Tractor Supply Company892356106TSCO$12,481,446.88
Church & Dwight Company Incorporated171340102CHD$12,137,119.41
Greenhill & Company Incorporated395259104GHL$12,102,426.66
Dresser-Rand Group Incorporated261608103DRC$12,063,977.79
Time Warner Cable Incorporated-Cl A88732J207TWC$11,863,940.40
Scripps Networks Interactive Incorporated811065101SNI$11,775,205.64
Mohawk Industries Incorporated608190104MHK$11,577,867.84
The Childrens Place168905107PLCE$11,521,247.04
Cablevision Systems Corporation12686C109CVC$11,371,466.40
Ametek Incorporated031100100AME$10,281,799.02
Texas Roadhouse Incorporated-Cl A882681109TXRH$9,762,393.50
CapitalSource Incorporated14055X102CSE$9,270,562.15
Steel Dynamics Incorporated858119100STLD$9,240,997.12
Con-Way Incorporated205944101CNW$8,325,244.20
Chemtura Corp163893209CHMT$8,148,235.16
United Continental Holdings Incorporated910047109UAL$8,107,719.90
Thoratec Corporation885175307THOR$7,656,843.00
Spdr S+p Biotech Etf Spdr S+p Biotech Etf78464A870XBI$7,119,320.04
Gardner Denver Incorporated365558105GDI$6,930,131.19
Herman Miller Incorporated600544100MLHR$3,812,099.33