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

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Wells Fargo Advantage Special Mid Cap Value Fund

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$37,814,479.82
Cigna Corporation125509109CI$16,520,253.75
Ameren Corporation023608102AEE$15,766,004.00
Arch Capital Group LimitedG0450A105ACGL$15,660,603.00
Consolidated Edison Incorporated209115104ED$15,635,886.00
Northern Trust Corporation665859104NTRS$15,407,744.00
Lear Corporation521865204LEA$15,325,191.00
Hasbro Incorporated418056107HAS$15,049,450.00
Sysco Corporation871829107SYY$14,813,604.00
The Allstate Corporation020002101ALL$14,397,138.00
EMCOR Group, Incorporated29084Q100EME$14,036,515.92
Molson Coors Brewing Company60871R209TAP$13,832,511.00
Treehouse Foods Incorporated89469A104THS$13,746,650.00
B/E Aerospace Incorporated073302101BEAV$13,577,308.00
CareFusion Corporation14170T101CFN$13,320,693.00
Raytheon Company755111507RTN$12,922,042.00
Applied Materials Incorporated038222105AMAT$12,676,592.00
CapitalSource Incorporated14055X102CSE$12,488,616.66
SPX Corporation784635104SPW$12,254,592.00
Macquarie Infrastucture Company LLC55608B105MIC$11,732,408.24
Broadridge Finl Solutions Incorporated11133T103BR$11,252,892.60
Omnicare Incorporated681904108OCR$11,155,447.60
Brown & Brown Incorporated115236101BRO$11,127,492.00
Patterson Dental Co.703395103PDCO$11,039,208.00
Towers Watson + CO Common Stock891894107TW$10,612,892.00
Lam Research Corporation512807108LRCX$10,584,738.00
Republic Services Incorporated760759100RSG$10,411,500.00
ON Semiconductor Corporation682189105ONNN$10,144,656.00
Ingram Micro Inc -cl A457153104IM$9,731,622.24
Agilent Technologies Incorporated00846U101A$9,669,888.00
Ensco PLC Cl A Common Stock Usd.1G3157S106ESV$9,603,960.00
Guess Incorporated401617105GES$9,512,373.00
ATMI Incorporated00207R101ATMI$9,426,880.40
CBRE Group Incorporated12504L109CBG$9,266,750.00
Rock-tenn Co-a772739207RKT$8,931,037.50
Cr Bard Incorporated067383109BCR$8,697,314.00
Atlas Air Worldwide Holdings Incorporated049164205AAWW$8,408,788.00
Validus Holdings LimitedG9319H102VR$8,407,091.53
International Paper Company460146103IP$8,193,422.00
Cimarex Energy Company171798101XEC$8,118,098.40
Interpublic Group of Cos.460690100IPG$8,056,449.00
TD Ameritrade Holding Corporation87236Y108AMTD$7,996,436.00
Dst Systems Incorporated233326107DST$7,732,795.00
Ryder Systems Incorporated783549108R$7,689,825.00
Vishay Intertechnology Incorporated928298108VSH$7,568,983.74
Check Point Software TechnologiesM22465104CHKP$7,565,390.00
Manpower Incorporated56418H100MAN$7,464,352.00
Southwestern Energy Company845467109SWN$6,684,444.00
Weatherford International LimitedH27013103WFT$5,639,030.00
St. Jude Medical Incorporated790849103STJ$5,544,324.00
Advance Auto Parts Incorporated00751Y106AAP$5,281,335.00
Patterson-UTI Energy Incorporated703481101PTEN$5,037,392.00
IAC/InterActive Corporation44919P508IACI$4,944,824.96
Avnet Inc053807103AVT$4,532,240.00
Joy Global Incorporated481165108JOY$4,285,440.00
Simpson Manufacturing Company Incorporated829073105SSD$4,016,032.00
Regal Beloit Corporation758750103RBC$3,882,256.00
Copart Incorporated217204106CPRT$3,839,360.00
Juniper Networks Incorporated48203R104JNPR$3,687,606.00
Comstock Resources205768203CRK$3,562,308.75
Stone Energy Corporation861642106SGY$2,583,900.00