Back to Holdings

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

Select a fund below to view the most recent complete holdings. Click here to view the most recent top holdings.



Wells Fargo Advantage Discovery FundSM

Holdings as of 3/31/2013
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$64,149,878.75
SBA Communications Corporation-Cl A78388J106SBAC$55,387,053.02
Kansas City Southern485170302KSU$42,374,890.00
Alliance Data Systems Corporation018581108ADS$41,913,321.00
Aspen Technology Incorporated045327103AZPN$41,783,260.00
TransDigm Group Incorporated893641100TDG$34,024,700.00
Copa Holdings SA-Cl AP31076105CPA$33,215,697.00
Hertz Global Holdings Incorporated42805T105HTZ$33,198,341.40
CommVault Systems Incorporated204166102CVLT$33,193,702.00
Catamaran Corporation148887102CTRX$32,756,631.00
Airgas Incorporated009363102ARG$32,415,404.00
PVH Corporation693656100PVH$30,782,642.00
CBRE Group Incorporated12504L109CBG$30,643,804.00
Verisk Analytics Incorporated92345Y106VRSK$29,970,669.00
Triumph Group Incorporated896818101TGI$29,209,850.00
Wabtec Corporation929740108WAB$29,172,827.00
Affiliated Managers Group Incorporated008252108AMG$29,116,872.00
Clean Harbors Incorporated184496107CLH$28,893,966.00
Onyx Pharmaceuticals Incorporated683399109ONXX$28,444,086.00
Intercontinentalexchange Incorporated45865V100ICE$27,548,719.66
Constellation Brands Inc.21036P108STZ$27,421,584.00
Graco Incorporated384109104GGG$27,262,494.00
Vantiv Incorporated Common Stock92210H105VNTV$27,258,861.50
Advisory Board Company00762W107ABCO$27,221,116.00
ACI Worldwide Incorporated004498101ACIW$27,215,020.00
Ipg Photonics Corporation44980X109IPGP$27,051,316.58
Quanta Services Incorporated74762E102PWR$26,902,354.00
Under Armour Incoroporated904311107UA$26,654,720.00
Guidewire Software Incorporated Common Stock Usd.000140171V100GWRE$26,139,200.00
Fortune Brands Home + Securi Common Stock Usd.0134964C106FBHS$26,040,051.00
Team Health Holdings LLC Common Stock87817A107TMH$25,636,986.00
GNC Holdings Incorporated36191G107GNC$25,516,916.48
Bruker Corporation116794108BRKR$25,231,100.00
Fei Company30241L109FEIC$25,193,865.00
Expedia Incorporated Common Stock Usd.00130212P303EXPE$25,096,182.00
Biomarin Pharmaceutical09061G101BMRN$24,739,446.82
Costar Group Inccommon Sto22160N109CSGP$24,059,308.00
Tesla Motors Incorporated Common Stock Usd.00188160R101TSLA$23,191,976.43
DSW Incorporated23334L102DSW$23,130,881.40
Cubist Pharmaceuticals Inc.229678107CBST$22,226,437.22
Exacttarget Incorporated Common Stock Usd.00130064K105ET$22,114,318.72
Wesco International Incorporated95082P105WCC$21,962,346.70
Splunk Incorporated Common Stock848637104SPLK$21,443,990.94
Sirona Dental Systems Incorporated82966C103SIRO$21,278,478.00
Lumber Liquidators Holdings In55003T107LL$21,044,934.00
Servicenow Incorporated Common Stock Usd.00181762P102NOW$20,931,527.80
Colfax Corporation194014106CFX$20,879,938.30
Chicos Fas Incorporated168615102CHS$20,816,880.00
Chart Industries Incorporated16115Q308GTLS$20,770,596.00
Headwaters Incorporated42210P102HW$20,707,078.80
Panera Bread Company69840W108PNRA$20,260,902.60
Amc Networks Incorporated A Common Stock00164V103AMCX$19,756,386.00
Athenahealth Incorporated04685W103ATHN$19,359,480.00
Pdc Energy Incorporated Common Stock Usd.0169327R101PDCE$19,302,558.00
Annie's Incorporated03600T104BNNY$18,802,226.58
Cabot Oil And Gas Corporation127097103COG$18,484,574.00
Cepheid Incorporated15670R107CPHD$18,036,087.09
Leapfrog Enterprises Incorporated52186N106LF$17,543,720.00
BroadSoft Incorporated11133B409BSFT$17,475,308.71
Angie's List Incorporated034754101ANGI$17,445,985.44
Stratasys Ltd Common StockM85548101SSYS$17,158,402.26
Align Technologycommon Sto016255101ALGN$16,527,132.00
Mercadolibre Incorporated58733R102MELI$15,999,992.00
Owens Corning Incorporated690742101OC$15,896,046.78
Gulfport Energy Corporation402635304GPOR$15,080,957.29
Fortinet Incorporated Common Stock34959E109FTNT$14,756,310.40
BorgWarner Incorporated099724106BWA$14,555,388.00
Zillow Incorporated Common Stock98954A107Z$14,443,814.00
Oasis Petroleum Incorporated Common Stock Usd.001674215108OAS$14,085,900.00
Corelogic Incorporated Common Stock Usd1.021871D103CLGX$13,678,259.10
Thoratec Corporation885175307THOR$13,624,950.00
Regal Beloit Corporation758750103RBC$13,443,697.92
Auxilium Pharmaceuticals Incorporated05334D107AUXL$11,987,879.04
Ezchip Semiconductor Ltd Common Stock Ils.02M4146Y108EZCH$10,539,984.00
Movado Group Incorporated624580106MOV$10,139,800.00
Rackspace Hosting750086100RAX$9,848,648.00
Heartware International Incorporated422368100HTWR$9,541,597.00
Wright Medical Group Incorporated98235T107WMGI$9,500,190.00
Achillion Pharmaceuticals00448Q201ACHN$8,996,082.00
Orexigen Therapeutics Incorporated686164104OREX$8,963,125.00
Texas Capital Bancshares Incorporated88224Q107TCBI$8,324,610.00
Santarus Incorporated802817304SNTS$8,152,032.00
Boulder Brands Incorporated Common Stock Usd.0001101405108BDBD$7,573,732.00
Jarden Corporation471109108JAH$5,522,165.20
Synageva Biopharma Corp87159A103GEVA$5,140,512.00