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

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Wells Fargo Advantage Emerging Growth 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
Genesee & Wyoming Incorporated371559105GWR$30,388,214.65
Endologix Incorporated29266S106ELGX$26,872,624.90
Financial Engines Incorporated317485100FNGN$23,806,948.22
Ixia45071R109XXIA$23,416,468.37
Shutterfly Incorporated82568P304SFLY$23,050,267.15
Akorn Incorporated009728106AKRX$22,472,780.51
ON Assignment Incorporated682159108ASGN$22,071,083.59
Sourcefire Incorporated83616T108FIRE$19,760,575.42
DXP Enterprises Incorporated233377407DXPE$18,967,116.99
SolarWinds Incorporated83416B109SWI$17,971,099.30
Homeaway Incorporated Common Stock Usd.000143739Q100AWAY$16,861,666.47
Sciquest Incorporated Common Stock80908T101SQI$16,124,009.78
Imax Corporation45245E109IMAX$15,646,409.76
Innerworkings Incorporated45773Y105INWK$15,390,693.91
Vitamin Shoppe Incorporated92849E101VSI$15,329,636.99
Sps Commerce Incorporated Common Stock Usd.00178463M107SPSC$15,181,188.64
Advisory Board Company00762W107ABCO$15,099,213.65
DSW Incorporated23334L102DSW$15,068,836.94
Marketaxess Holdings Incorporated57060D108MKTX$14,915,112.08
Wex Incorporated Common Stock Usd.0196208T104WXS$14,899,725.94
Cynosure Incorporated232577205CYNO$14,897,227.63
Envestnet Incorporated Common Stock29404K106ENV$14,266,210.73
Shfl Entertainment Incorporated Common Stock Usd.0178423R105SHFL$13,375,265.84
Jazz Pharmaceuticals PLC Common Stock Usd.0001G50871105JAZZ$13,173,830.88
Fortinet Incorporated Common Stock34959E109FTNT$12,734,116.05
OSI Systems Incorporated671044105OSIS$12,472,273.54
Fresh Market Inc/the35804H106TFM$12,454,212.87
Mercadolibre Incorporated58733R102MELI$12,453,632.52
Imperva Incorporated Common Stock Usd.000145321L100IMPV$12,340,792.91
Portfolio Recovery Association73640Q105PRAA$12,297,396.76
Oasis Petroleum Incorporated Common Stock Usd.001674215108OAS$11,867,941.11
Ultimate Software Group Incorporated90385D107ULTI$11,791,841.50
Synchronoss Technologies Incorporated87157B103SNCR$11,659,824.51
Acadia Healthcare CO Incorporated Common Stock00404A109ACHC$11,598,665.14
The Corporate Executive Board21988R102CEB$11,397,104.77
Aspen Technology Incorporated045327103AZPN$10,834,308.31
DexCom252131107DXCM$10,747,525.46
Costar Group Inccommon Sto22160N109CSGP$10,665,319.45
Fleetmatics Group PLC Common StockG35569105FLTX$10,656,240.58
Pros Holdings Incorporated74346Y103PRO$10,498,575.10
Asbury Automotive Group043436104ABG$10,278,306.93
Align Technologycommon Sto016255101ALGN$10,260,787.56
Opentable Incorporated Common Stock68372A104OPEN$10,174,130.57
Middleby Corporation596278101MIDD$10,023,700.36
Wells Fargo Advantage Cash Investment Money Market Fund9499999G3N/A$9,608,424.71
Tyler Technologies Incorporated902252105TYL$9,527,011.87
Entegris Incorporated29362U104ENTG$9,209,091.83
Nxstage Medical Incorporated67072V103NXTM$8,867,992.53
Infoblox Incorporated Common Stock45672H104BLOX$8,816,471.35
Guidewire Software Incorporated Common Stock Usd.000140171V100GWRE$8,803,368.59
Mwi Veterinary Supply Incorporated55402X105MWIV$8,599,243.43
Ellie Mae Incorporated28849P100ELLI$8,277,000.72
Team Health Holdings LLC Common Stock87817A107TMH$8,106,921.27
Interxion Holding Nv Common Stock Eur.1N47279109INXN$7,856,050.95
Chart Industries Incorporated16115Q308GTLS$7,765,684.36
Titan Machinery Incorporated88830R101TITN$7,377,534.16
Aruba Networks Incorporated043176106ARUN$7,158,220.32
Heartware International Incorporated422368100HTWR$6,929,934.39
Approach Resources Incorporated03834A103AREX$6,924,841.67
Kodiak Oil & Gas Corporation50015Q100KOG$6,658,779.63
Diamondback Energy Incorporated Common Stock25278X109FANG$6,413,810.74
Sodastream International Ltd Common StockM9068E105SODA$6,035,747.35
Bonanza Creek Energy Incorporated097793103BCEI$6,001,156.29
Laredo Petroleum Holdings In Common Stock Usd.01516806106LPI$5,876,629.19
Proto Labs Incorporated743713109PRLB$5,861,075.34
Exone Co/the Common Stock Usd.01302104104XONE$5,713,267.18
United Natural Foods Incorporated911163103UNFI$5,696,314.90
BroadSoft Incorporated11133B409BSFT$5,513,342.07
Stratasys Ltd Common StockM85548101SSYS$5,088,462.80
Maximus Incorporated577933104MMS$5,068,754.08
Annie's Incorporated03600T104BNNY$4,652,048.62
Santarus Incorporated802817304SNTS$4,612,465.00
Nps Pharmaceuticals Inccom62936P103NPSP$4,575,717.27
Spectranetics Corp84760C107SPNC$4,543,158.47
Mrc Global Incorporated Common Stock Usd.0155345K103MRC$4,151,990.18
Multimedia Games Inccommon625453105MGAM$4,032,856.56
Abaxis Inccommon Stock002567105ABAX$3,867,282.94
Hibbett Sports Incorporated428567101HIBB$3,615,114.54
Life Time Fitness Incorporated53217R207LTM$3,568,890.30
Novadaq Technologies Incorporated Common Stock66987G102NVDQ$3,424,104.56
Cepheid Incorporated15670R107CPHD$3,132,349.35
Aegerion Pharmaceuticals Incorporated00767E102AEGR$3,001,840.79
Five Below Common Stock Usd.0133829M101FIVE$2,729,554.13
Infinity Pharmaceuticals Incorporated45665G303INFI$2,698,063.69
Silicon Laboratories Incorporated826919102SLAB$2,550,169.26
Forum Energy Technologies In Common Stock34984V100FET$2,549,632.16
Team Incorporated878155100TISI$2,235,835.45
Healthstream Incorporated42222N103HSTM$2,189,348.17
Raptor Pharmaceutical Corp75382F106RPTP$2,092,476.31
Medidata Solutions Incorporated58471A105MDSO$2,016,488.21
Exact Sciences Corp Common Stock Usd.0130063P105EXAS$1,917,038.34
Silver Spring Networks Incorporated Common Stock Usd.00182817Q103SSNI$1,496,415.21
Marin Software Incorporated Common Stock Usd.00156804T106MRIN$351,146.97