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

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Wells Fargo Advantage Large Cap Core Fund

Holdings as of 7/31/2015
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.

Consult a fund's Annual or Semi-Annual Reports for complete information on derivative transactions and holdings.

Holdings
SecurityCusipTickerAmount
Spirit Aerosystems Holdings Incorporated848574109SPR$15,283,986.20
Centene Corporation15135B101CNC$14,795,185.84
Gilead Sciences, Incorporated375558103GILD$14,337,669.00
Electronic Arts Incorporated285512109EA$14,335,042.50
CVS Caremark Corporation126650100CVS$14,274,017.58
Pinnacle Foods Incorporated Common Stock Usd.0172348P104PF$14,061,573.65
The Home Depot, Incorporated437076102HD$14,040,557.22
New Aetna Inc00817Y108AET$14,040,476.45
Apple Incorporated037833100AAPL$13,895,157.60
Northrop Grumman Corporation666807102NOC$13,875,748.02
Footlocker Inccommon Stock344849104FL$13,804,095.20
Lincoln National Corporation534187109LNC$13,396,782.08
Magna International Incorporated559222401MGA$13,108,696.56
Hartford Financial Services416515104HIG$12,915,768.75
McKesson Corporation58155Q103MCK$12,856,363.59
Skyworks Solutions, Incorporated83088M102SWKS$12,648,913.38
Wells Fargo Advantage Cash Investment Money Market Fund9499999G3N/A$12,400,442.89
Delta Air Lines, Incorporated247361702DAL$12,363,011.82
AmerisourceBergen Corporation03073E105ABC$12,300,205.50
The Goldman Sachs Group, Incorporated38141G104GS$12,256,418.69
VOYA FINANCIAL INC COMMON STOCK USD.01929089100VOYA$12,073,051.65
Lear Corporation521865204LEA$12,058,382.76
Amgen Incorporated031162100AMGN$12,047,676.16
UnitedHealth Group Incorporated91324P102UNH$11,877,654.60
Lowes Companies Incorporated548661107LOW$11,834,550.00
JPMorgan Chase & Company46625H100JPM$11,752,620.88
Comcast Corporation20030N101CMCSA$11,613,627.26
Morgan Stanley617446448MS$11,461,101.40
Microsoft Corporation594918104MSFT$11,407,455.70
Avery Dennison Corporation053611109AVY$11,350,046.25
DST Systems, Incorporated233326107DST$11,341,667.35
Teradyne Incorporated880770102TER$11,243,602.80
Target Corporation87612E106TGT$11,167,041.05
Archer-daniels-midland Company039483102ADM$10,961,654.62
Valero Energy Corporation91913Y100VLO$10,888,681.60
Western Refining Incorporated959319104WNR$10,616,814.72
Merck & Company, Incorporated58933Y105MRK$10,317,587.28
Southwest Airlines Company844741108LUV$10,306,864.00
Cisco Systems, Incorporated17275R102CSCO$10,241,374.36
Capital One Financial Corporation14040H105COF$10,148,597.70
Dow Chemical Company260543103DOW$10,138,982.88
Biogen Idec Incorporated09062X103BIIB$9,874,529.28
Tessera Technologies Incorporated88164L100TSRA$9,766,564.12
Intel Corporation458140100INTC$8,624,726.10
Oracle Corporation68389X105ORCL$8,585,502.40
SanDisk Corporation80004C101SNDK$8,218,009.32
Ford Motor Company345370860F$7,340,078.84
Exxon Mobil Corporation30231G102XOM$7,173,574.44
Trinity Industries896522109TRN$7,065,851.10
ConocoPhillips20825C104COP$6,106,745.40
National Oilwell Varco, Incorporated637071101NOV$5,848,823.64