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 Large Cap Growth 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
Google Incorporated38259P508GOOG$51,123,340.00
Apple Incorporated037833100AAPL$42,570,412.50
eBay Incorporated278642103EBAY$37,458,850.00
Whole Foods Market Incorporated966837106WFM$32,979,571.20
Dollar Tree Incorporated256746108DLTR$31,101,862.00
Qualcomm Incorporated747525103QCOM$30,435,350.40
Union Pacific Corporation907818108UNP$29,719,245.60
MasterCard Incorporated57636Q104MA$27,364,505.70
Alexion Pharmaceuticals Incorporated015351109ALXN$26,682,460.00
Praxair Incorporated74005P104PX$25,151,715.00
Wells Fargo Advantage Cash Investment Money Market Fund9499999G3N/A$24,804,167.06
Gilead Sciences Incorporated375558103GILD$23,440,243.20
Starbucks Corporation855244109SBUX$22,683,585.60
Costco Wholesale Corporation22160K105COST$22,085,022.40
Cognizant Technology Solutions Corporation192446102CTSH$21,879,720.00
Ww Grainger Incorporated384802104GWW$21,425,637.10
Cerner Corporation156782104CERN$20,957,478.90
Pioneer Natural Resources Company723787107PXD$20,698,428.20
Priceline.com Incorporated741503403PCLN$20,211,549.60
American Express Company025816109AXP$19,816,324.70
Amazon.com Incorporated023135106AMZN$19,675,351.20
Monsanto Company61166W101MON$19,465,808.60
Celgene Corporation151020104CELG$18,816,815.90
Salesforce.com Incorporated79466L302CRM$18,531,154.70
Walgreen Company931422109WAG$18,505,847.80
Schlumberger Limited806857108SLB$16,686,461.70
O'reilly Automotive Inc.67103H107ORLY$16,538,012.00
Marriott International Incorporated571903202MAR$16,532,456.40
Chipotle Mexican Grill169656105CMG$16,263,648.20
Visa Incorporated92826C839V$16,212,590.40
Nordstrom Incorporated655664100JWN$15,647,135.00
Microchip Technology595017104MCHP$15,377,616.60
CBS Corporation124857202CBS$15,272,665.80
Lululemon Athletica Incorporated550021109LULU$15,169,663.80
Nike Incorporated-Cl B654106103NKE$14,851,236.00
United Technologies Corporation913017109UTX$14,669,390.10
Catamaran Corporation148887102CTRX$14,099,397.90
Wynn Resorts Limited983134107WYNN$13,795,904.00
Ecolab Incorporated278865100ECL$13,677,130.60
VF Corporation918204108VFC$13,480,560.80
Red Hat Incorporated756577102RHT$13,446,761.50
Ross Stores Incorporated778296103ROST$13,202,768.10
Biogen Idec Incorporated09062X103BIIB$12,789,890.60
Accenture PLCG1151C101ACN$12,680,208.00
CarMax Incorporated143130102KMX$12,405,478.00
Precision Castparts Corporation740189105PCP$12,363,072.70
Cisco Systems Incorporated17275R102CSCO$12,118,119.20
Danaher Corporation235851102DHR$12,022,852.60
Dollar General Corporation256677105DG$11,928,089.10
Michael Kors Holdings Ltd Common Stock NpvG60754101KORS$11,705,155.80
Concho Resources Incorporated20605P101CXO$11,684,395.80
Shire PLC ADR82481R106SHPG$11,276,128.80
AmerisourceBergen Corporation03073E105ABC$10,936,569.60
Citrix Sytems Incorporated177376100CTXS$10,849,908.40
United Parcel Service Incorporated911312106UPS$10,554,886.40
McDonald's Corporation580135101MCD$10,176,208.20
Dicks Sporting Goods253393102DKS$10,154,872.00
Rackspace Hosting750086100RAX$9,908,474.00
Discover Financial Services254709108DFS$9,736,086.60
Deere & Company244199105DE$9,434,545.00
Bed Bath & Beyond Inc075896100BBBY$8,479,600.00
Covidien PLC Common Stock Usd.2G2554F113COV$8,474,760.00
News Corporation Class A65248E104NWSA$8,245,762.50
Intuitive Surgical Inccomm46120E602ISRG$8,152,322.40
Allergan Incorporated018490102AGN$7,745,245.50
TD Ameritrade Holding Corporation87236Y108AMTD$7,206,026.30
Northern Trust Corporation665859104NTRS$6,848,379.20
Maxim Integrated Products Incorporated57772K101MXIM$6,747,998.10
Estee Lauder Companies Incorporated Class A518439104EL$6,348,299.00
Norfolk Southern Corporation655844108NSC$6,154,890.00
National-Oilwell Varco Incorporated637071101NOV$5,779,796.40
Alliance Data Systems Corporation018581108ADS$5,656,386.10
Masco Corporation574599106MAS$5,600,275.20
Continental Resources Incorporated212015101CLR$4,910,284.80
Boeing Company097023105BA$3,010,131.30
Facebook Incorporated A Common Stock Usd.00000630303M102FB$3,003,354.40
Avago Technologies Ltd Common StockY0486S104AVGO$1,256,028.00
Coca-Cola Company191216100KO$1,170,847.80