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

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Wells Fargo Advantage Opportunity FundSM

Holdings as of 6/30/2015
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
Apple Incorporated037833100AAPL$49,834,864.40
Medtronic Plc Common Stock Usd.1G5960L103MDT$41,757,350.70
Bio-rad Laboratories Incorporated090572207BIO$40,048,253.27
American International Group Incorporated026874784AIG$39,907,777.36
Google Incorporated?Cl C38259P706GOOG$33,660,340.68
Wells Fargo Advantage Cash Investment Money Market Fund9499999G3N/A$33,564,752.22
The PNC Financial Services Group, Incorporated693475105PNC$33,245,644.40
Citrix Sytems, Incorporated177376100CTXS$32,356,108.16
Johnson Controls Incorporated478366107JCI$31,092,358.44
Citigroup Incorporated172967424C$30,932,190.40
Regions Financial Corporation7591EP100RF$30,137,395.40
Comcast Corporation-Cl A20030N200CMCSK$28,924,286.76
Invesco LimitedG491BT108IVZ$28,898,004.31
Red Hat, Incorporated756577102RHT$28,136,089.29
Carnival Corporation143658300CCL$28,110,120.94
Novartis AG ADR66987V109NVS$28,034,767.20
Thermo Fisher Scientific Incorporated883556102TMO$28,026,473.12
American Tower Corporation03027X100AMT$27,914,980.12
EOG Resources Incorporated26875P101EOG$27,588,405.80
Harman International Industries, Incorporated413086109HAR$27,507,967.44
TD Ameritrade Holding Corporation87236Y108AMTD$26,841,411.80
Check Point Software Technologies LimitedM22465104CHKP$26,469,626.10
Babcock & Wilcox Company05615F102BWC$26,345,911.20
Amphenol Corp032095101APH$26,192,005.40
Avago Technologies Ltd Common StockY0486S104AVGO$25,724,347.74
Discovery Holding Company25470F302DISCK$25,644,418.80
The Progressive Corporation743315103PGR$25,559,183.32
Regal Beloit Corporation758750103RBC$25,408,677.70
Target Corporation87612E106TGT$25,200,160.56
Zimmer Holdings Incorporated98956P102ZBH$25,004,822.37
ON Semiconductor Corporation682189105ON$24,761,652.79
Republic Services, Incorporated760759100RSG$24,557,278.97
Cytec Industries232820100CYT$24,468,344.55
Macy's Incorporated55616P104M$24,370,433.88
Newfield Exploration Company651290108NFX$24,356,763.48
Te Connectivity Ltd Common Stock Chf1.55H84989104TEL$24,328,033.60
Praxair, Incorporated74005P104PX$24,211,863.75
Global Payments Incorporated37940X102GPN$23,773,016.90
Huntsman Corp447011107HUN$23,624,323.89
McDonald's Corporation580135101MCD$23,581,828.29
ACE LimitedH0023R105ACE$23,521,126.00
Estee Lauder Companies Incorporated Class A518439104EL$23,486,333.22
KeyCorp493267108KEY$23,074,895.56
Cimarex Energy Company171798101XEC$23,006,253.60
The Hershey Company427866108HSY$22,981,919.94
Oracle Corporation68389X105ORCL$22,912,524.70
Nordstrom Incorporated655664100JWN$22,650,980.00
First American Financial Common Stock Usd1e 05.031847R102FAF$22,551,641.44
Ralph Lauren Corp Common Stock Usd.01751212101RL$22,538,525.52
Mead Johnson Nutrition Corporation582839106MJN$22,459,005.92
TYCO INTERNATIONAL PLC COMMON STOCK CHF.5G91442106TYC$22,394,628.88
Crown Holdings, Incorporated228368106CCK$22,242,834.90
Teradata Corporation88076W103TDC$22,184,423.00
Range Resources Corporation75281A109RRC$21,614,416.08
Hertz Global Holdings, Incorporated42805T105HTZ$21,356,123.28
United Technologies Corporation913017109UTX$21,208,262.98
Agilent Technologies Incorporated00846U101A$20,915,915.52
The Kroger Company501044101KR$20,778,828.15
Omnicom Group Incorporated681919106OMC$20,526,651.10
General Mills Incorporated370334104GIS$20,315,902.04
Merck & Company, Incorporated58933Y105MRK$20,281,881.80
Dicks Sporting Goods253393102DKS$20,217,789.87
United Continental Holdings, Incorporated910047109UAL$20,214,833.40
salesforce.com, incorporated79466L302CRM$19,909,793.31
Chicos Fas Incorporated168615102CHS$19,514,207.42
Church & Dwight Company, Incorporated171340102CHD$19,305,775.93
JB Hunt Transport Services445658107JBHT$19,291,806.72
Halliburton Company406216101HAL$19,200,476.79
Arm Hldgs Ord Gbp0.0005005958905ARM$18,736,034.28
Owens-Illinois Incorporated690768403OI$18,333,510.36
Cameron International Corporation13342B105CAM$17,122,895.20
WEATHERFORD INTERNATIONAL PL COMMON STOCK USD.001G48833100WFT$15,561,918.30
RenaissanceRe Holdings LimitedG7496G103RNR$14,968,360.07
Royal Gold, Incorporated780287108RGLD$13,838,164.38
Apollo Group Incorporated-Cl A037604105APOL$13,375,880.00
Patterson Dental Co.703395103PDCO$12,725,088.60
B/E Aerospace, Incorporated073302101BEAV$12,694,746.60
Canadian Pacific Railway Limited13645T100CP$11,705,923.11
Towers Watson + CO Common Stock891894107TW$11,538,124.40
Zoetis Incorporated98978V103ZTS$10,515,431.84