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

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Wells Fargo Advantage International Equity 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$35,421,718.01
Mitsubishi UFJ Financial Group, Incorporated633517909N/A$11,990,075.44
Daiwa House Inds Jpy50625136007N/A$11,980,302.17
Hitachi, Limited, NPV642910004N/A$10,190,083.51
Nomura Holdings Npv664310000N/A$8,985,038.61
Rheinmetall AG Npv533458907RHM$8,932,700.25
Wolseley plcBFNWV4909WOS$8,820,020.11
Cie De St Gobain Eur4738048909SGO$8,738,155.96
Vodafone Group Plc Common StockACI07KLY6VOD$8,190,981.06
Akzo Nobel N.V.545831901AKZA$7,936,300.76
Prysmian SpA NpvB1W4V6907PRY$7,812,869.50
Man Group plcB83VD9908EMG$7,668,104.84
China Everbright Limited645514902N/A$7,372,263.72
Eni S.p.A714505906ENI$7,321,286.01
Siemens AG572797900SIE$7,177,826.06
Volkswagen AG Non Vtg Prf Npv549716900N/A$7,132,425.96
Novartis Limited AG710306903NOVN$7,129,096.14
BP p.l.c.079805909N/A$6,868,308.95
Anima Holding SPA Common StockACI0854F8ANIM$6,703,914.44
Toyota Motor Corporation690064001N/A$6,605,862.75
Mitsui Fudosan Company, Limited659760003N/A$6,548,230.93
Bayer AG506921907BAYN$6,386,683.38
Zurich Insurance Group Limited598381903ZURN$6,349,241.54
ABB Limited710889908ABBN$5,979,359.35
Metro AG ORD NPV504141904MEO$5,918,141.62
Reckitt Benckiser Group plcB24CGK904RB$5,758,961.96
China Mobile Limited607355906N/A$5,747,778.08
Dongfeng Motor Grp CO Ltd H Common Stock Cny1.0B0PH5N900N/A$5,423,221.50
Valeant Pharmaceuticals International, Incorporated91911K102VRX$5,338,081.84
Sap AG Npv484628904SAP$5,274,401.93
Coca Cola Central Npv635554900N/A$5,207,601.57
Samsung Electr Gdr Reg S Gdr494281900SMSN$5,114,616.00
Hana Financial Hol Krw5000B0RNRF908N/A$5,036,773.23
Industrial and Commercial Bank of China LimitedB1G1QD902N/A$4,751,534.38
Volvo Ab Ser B Npv (post Split)B1QH83908VOLVB$4,690,889.48
Hugo Boss AG Ord Common StockACI0232I5BOSS$4,336,220.85
Nitto Denko Corporation664180007N/A$4,302,572.48
Smiths Group Ord Gbp0.375B1WY23900SMIN$3,814,827.72
Daiwa Securities Group Incorporated625144001N/A$3,709,080.57
Intesa Sanpaolo SpA407683002ISP$3,553,479.70
QUALCOMM Incorporated747525103QCOM$3,495,539.93
Capita PLCB23K0M900CPI$3,320,643.77
Marine Harvest Asa Nok0.75B02L48900MHG$2,733,130.12
Value Partners Gp Hkd0.10B28XTQ907N/A$2,719,358.13
Shanghai Pharmaceuticals H Common Stock Cny1.B4Q4CJ901N/A$2,407,170.00
Yaskawa Elec Corp Jpy50698604006N/A$2,351,273.65
Xinyi Glass Hldgs Hkd0.1B05NXN908N/A$2,176,672.73
Xtep International Holdings Common Stock Hkd.01B2RJYH901N/A$2,078,504.02
STANDARD CHARTERED BK SP SC SP CW16 KWEICHOW MOUTBWXC2X903N/A$1,914,743.49
WEST HOLDINGS CORP COMMON STOCKB0YQ5X908N/A$1,747,511.20
Biostime International Holdi Common Stock Hkd.01B4ZB3G901N/A$1,681,450.67
Frontline 2012 Ltd Common StockB6VK11905FRNT$1,615,458.38
XINYI SOLAR HOLDINGS LTD COMMON STOCK HKD.1BGQYNN907N/A$1,611,341.15
HSBC BANK PLC HSBC CW24 KWEICHOW MOUTBTC31W906N/A$1,479,261.04
Cameco Corporation13321L108CCJ$1,158,386.37
HSBC BANK PLC HSBC CW19 KWEICHOW MOUTAB55NPC900N/A$1,011,494.71
Sk Telecom Krw500622487908N/A$589,767.98
Cosan, Ltd.G25343107CZZ$288,373.20
GOLDEN OCEAN GROUP LTD COMMON STOCK USD.01ACI0C65T0GOGL$287,710.30
Derivatives Holdings (Forwards)
Expiration DateCurrency to receiveCurrency to deliverUnrealized Gains (Losses)
09-28-2015USDEUR108,344.87
10-13-2015USDGBP(73,230.58)
10-13-2015USDEUR72,222.33
10-13-2015USDJPY249,353.09