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Wells Fargo Advantage Common Stock 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
Wells Fargo Advantage Cash Investment Money Market Fund9499999G3N/A$29,987,738.54
Laboratory Corporation of America Holdings50540R409LH$27,182,143.05
Haemonetics Corporation405024100HAE$26,864,554.46
First Tennessee Natl Corp320517105FHN$26,307,608.10
E*TRADE Financial Corporation269246401ETFC$25,613,837.62
The Progressive Corporation743315103PGR$25,387,010.50
DENTSPLY International Incorporated249030107XRAY$24,646,298.25
Reinsurance Group of America Incorporated759351604RGA$24,422,262.56
Diebold, Incorporated253651103DBD$23,366,097.45
CNO Financial Group Incorporated12621E103CNO$23,143,796.32
PVH Corporation693656100PVH$22,648,919.28
Houghton Mifflin Harcourt Co Common Stock Usd.0144157R109HMHC$22,184,788.08
Harman International Industries, Incorporated413086109HAR$22,144,047.10
Nuance Communications67020Y100NUAN$21,989,369.36
Arch Capital Group LimitedG0450A105ACGL$21,778,643.84
TCF Financial Corporation872275102TCB$21,730,162.80
Royal Caribbean Cruises LimitedV7780T103RCL$21,670,112.85
Steelcase Incorporated858155203SCS$21,639,394.35
Red Hat, Incorporated756577102RHT$21,547,323.00
Homeaway Incorporated Common Stock Usd.000143739Q100AWAY$21,515,939.72
Evercore Partners Incorporated?Cl A29977A105EVR$21,453,121.20
Mdc Holdings Incorporated552676108MDC$20,970,558.56
Thoratec Corporation885175307THOR$20,936,775.03
Steel Dynamics, Incorporated858119100STLD$20,838,791.37
GATX Corporation361448103GMT$20,785,209.12
National Bank Hold-cl A633707104NBHC$20,584,876.88
Hologic Incorporated436440101HOLX$20,473,265.42
CoreLogic, Incorporated21871D103CLGX$20,450,152.72
Maxim Integrated Products Incorporated57772K101MXIM$20,335,393.88
Republic Services, Incorporated760759100RSG$20,249,681.31
Ansys Inccommon Stock03662Q105ANSS$19,838,817.25
Allison Transmission Holding Common Stock Usd.0101973R101ALSN$19,686,928.96
Willis Group HoldingsG96666105WSH$19,276,706.58
Mohawk Industries Incorporated608190104MHK$18,923,656.48
Raymond James Financial Incorporated754730109RJF$18,898,762.00
SABRE CORP COMMON STOCK USD.0178573M104SABR$18,782,978.20
Mb Financial Incorporated55264U108MBFI$18,779,688.40
Global Payments Incorporated37940X102GPN$18,538,340.92
Crown Holdings, Incorporated228368106CCK$18,536,955.21
Amdocs LimitedG02602103DOX$18,534,397.05
Universal Health Services Incorporated913903100UHS$18,268,772.16
Cimarex Energy Company171798101XEC$18,251,194.80
Skyworks Solutions, Incorporated83088M102SWKS$18,138,457.98
Dj Wilshire Reit Etf78464A607RWR$18,063,017.55
Interpublic Group of Cos.460690100IPG$17,753,294.40
PerkinElmer, Incorporated714046109PKI$17,578,171.80
Urban Outfitters Incorporated917047102URBN$16,972,707.92
RenaissanceRe Holdings LimitedG7496G103RNR$16,934,193.30
ON Semiconductor Corporation682189105ON$16,915,536.00
Church & Dwight Company, Incorporated171340102CHD$16,878,464.63
Hertz Global Holdings, Incorporated42805T105HTZ$16,801,461.97
Gartner Incorporated366651107IT$16,607,317.85
United Continental Holdings, Incorporated910047109UAL$16,519,450.50
Huntsman Corp447011107HUN$16,501,519.00
International Flavors & Fragrances Incorporated459506101IFF$16,411,468.20
Sensata Technologies Holding N.V.N7902X106ST$16,244,216.96
BWX TECHNOLOGIES INC COMMON STOCK USD.0105605H100BWXT$16,101,511.44
Solera Holdings Incorporated83421A104SLH$16,084,817.64
Spdr S+p Biotech Etf Spdr S+p Biotech Etf78464A870XBI$15,605,595.92
Express, Incorporated30219E103EXPR$15,401,760.64
Scripps Networks Interactive Incorporated811065101SNI$15,293,801.04
Vitamin Shoppe Incorporated92849E101VSI$15,240,585.72
Trimble Navigation Limited896239100TRMB$15,226,341.90
Pioneer Natural Resources Company723787107PXD$15,019,836.37
Superior Energy Services Incorporated868157108SPN$14,904,648.00
Tractor Supply Company892356106TSCO$14,903,121.60
Southwestern Energy Company845467109SWN$14,490,553.20
Wabash National Corporation929566107WNC$14,381,960.28
Fresh Market Inc/the35804H106TFM$14,277,019.50
Panera Bread Company69840W108PNRA$13,488,861.96
BABCOCK + WILCOX ENTERPR COMMON STOCK USD.0105614L100BW$12,861,206.52
Integrated Device Technology458118106IDTI$12,174,369.48
Helmerich & Payne Incorporated423452101HP$11,879,543.08
MRC Global Incorporated Common Stock Usd.0155345K103MRC$11,271,968.60
Apollo Group Incorporated-Cl A037604105APOL$11,023,197.15
Buffalo Wild Wings Incorporated119848109BWLD$10,300,220.70
Heartware International Incorporated422368100HTWR$10,174,940.70
Cornerstone Ondemand Incorporated Common Stock21925Y103CSOD$10,131,129.12
Ryder Systems Incorporated783549108R$8,825,881.04
B/E Aerospace, Incorporated073302101BEAV$8,716,410.95
Royal Gold, Incorporated780287108RGLD$8,674,660.16