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

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Wells Fargo Advantage Large Cap Growth 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
Apple Incorporated037833100AAPL$55,566,317.00
Facebook, Incorporated30303M102FB$54,431,790.00
Google Incorporated38259P508GOOGL$44,052,500.00
Alexion Pharmaceuticals, Incorporated015351109ALXN$42,844,480.00
Dollar Tree, Incorporated256746108DLTR$39,795,300.00
MasterCard Incorporated57636Q104MA$39,447,000.00
Union Pacific Company907818108UNP$38,352,870.00
Nike Incorporated-Cl B654106103NKE$35,257,320.00
Alliance Data Systems Corporation018581108ADS$34,655,040.00
Regeneron Pharmaceuticals, Incorporated75886F107REGN$33,773,260.00
Costco Wholesale Corporation22160K105COST$33,564,300.00
Google Incorporated?Cl C38259P706GOOG$33,157,330.00
Starbucks Corporation855244109SBUX$32,962,170.00
Amazon.com, Incorporated023135106AMZN$32,705,150.00
VF Corporation918204108VFC$32,686,160.00
The Walt Disney Company254687106DIS$31,680,000.00
Microsoft Corporation594918104MSFT$31,662,600.00
Chipotle Mexican Grill, Incorporated169656105CMG$31,173,660.00
Visa Incorporated92826C839V$30,136,000.00
Tractor Supply Company892356106TSCO$30,069,000.00
Celgene Corporation151020104CELG$29,006,250.00
O'reilly Automotive Inc.67103H107ORLY$28,837,200.00
Gilead Sciences, Incorporated375558103GILD$27,107,800.00
CarMax, Incorporated143130102KMX$26,642,630.00
TD Ameritrade Holding Corporation87236Y108AMTD$26,408,870.00
salesforce.com, incorporated79466L302CRM$25,581,700.00
Praxair, Incorporated74005P104PX$25,567,360.00
Allergan PLC Common Stock Usd.0033G0177J108AGN$24,877,643.75
Perrigo Co PLC Common Stock NpvG97822103PRGO$24,409,400.00
Ecolab Incorporated278865100ECL$23,365,825.60
Concho Resources Incorporated20605P101CXO$23,336,640.00
AmerisourceBergen Corporation03073E105ABC$22,635,787.50
Nordstrom Incorporated655664100JWN$21,900,970.00
Marriott International Incorporated571903202MAR$21,637,780.00
Cerner Corporation156782104CERN$20,440,200.00
Biogen Idec Incorporated09062X103BIIB$20,389,168.80
Microchip Technology Incorporated595017104MCHP$20,349,000.00
The Boeing Company097023105BA$20,183,800.00
ServiceNow, Incorporated81762P102NOW$19,988,150.00
The Home Depot, Incorporated437076102HD$19,778,070.00
Medtronic Plc Common Stock Usd.1G5960L103MDT$19,295,541.72
Estee Lauder Companies Incorporated Class A518439104EL$19,158,650.00
CVS Caremark Corporation126650100CVS$17,995,200.00
3M Company88579Y101MMM$17,252,760.00
Ww Grainger Incorporated384802104GWW$16,009,700.00
Southwest Airlines Company844741108LUV$15,529,800.00
Akamai Technologies Incorporated00971T101AKAM$15,188,580.00
Accenture plcG1151C101ACN$14,950,950.00
Adobe Systems Incorporated00724F101ADBE$14,512,230.00
CBS Corporation124857202CBS$14,436,900.00
Discover Financial Services254709108DFS$13,896,690.00
Wells Fargo Advantage Cash Investment Money Market Fund9499999G3N/A$13,762,759.75
The Priceline Group Incorporated741503403PCLN$13,679,270.00
Texas Instruments Incorporated882508104TXN$13,494,600.00
Ameriprise Financial Incorporated03076C106AMP$13,446,690.00
Kansas City Southern485170302KSU$13,160,529.20
Splunk Incorporated Common Stock848637104SPLK$12,938,900.00
Comcast Corporation20030N101CMCSA$12,232,360.00
Danaher Corporation235851102DHR$12,199,454.40
Arm Holdings PLC Spons ADR ADR Npv042068106ARMH$12,136,320.00
United Technologies Corporation913017109UTX$11,905,793.90
Hilton Worldwide Holdings In Common Stock Usd.0143300A104HLT$11,277,000.00
Delphi Automotive PLCG27823106DLPH$10,150,400.00
Intuitive Surgical Inccomm46120E602ISRG$10,130,230.00
Norfolk Southern Corporation655844108NSC$10,119,600.00
Colgate-Palmolive Company194162103CL$9,862,900.00
Netflix, Incorporated64110L106NFLX$9,121,938.00
Quintiles Transnational Hold Common Stock Usd.0174876Y101Q$8,454,544.00
Monsanto Company61166W101MON$7,539,860.00
QUALCOMM Incorporated747525103QCOM$6,444,151.20
Medivation Incorporated58501N101MDVN$5,161,170.00
Canadian Pacific Railway Limited13645T100CP$4,825,500.00
American Tower Corporation03027X100AMT$4,755,500.00
Vmware Incorporated928563402VMW$3,565,200.00
Pioneer Natural Resources Company723787107PXD$3,296,020.00
Illumina Inc452327109ILMN$3,289,500.00