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

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Wells Fargo Advantage Small Company 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
Wells Fargo Advantage Cash Investment Money Market Fund9499999G3N/A$52,024,891.63
SS&C Technologies Holdings, Incorporated78467J100SSNC$15,116,475.59
Cepheid Incorporated15670R107CPHD$14,611,007.23
Icon PLC Common Stock Eur.06G4705A100ICLR$13,011,420.16
Evercore Partners Incorporated?Cl A29977A105EVR$12,930,988.41
SVB Financial Group78486Q101SIVB$11,608,853.29
Qlik Technologies Incorporated Common Stock74733T105QLIK$11,588,628.30
Essent Group Ltd Common Stock Usd.015G3198U102ESNT$11,345,224.64
Houghton Mifflin Harcourt Co Common Stock Usd.0144157R109HMHC$11,292,454.05
Cadence Design Systems Incorporated127387108CDNS$11,229,031.93
Adeptus Health Inc Class A Common Stock Usd.01006855100ADPT$11,138,524.37
Healthequity Inc Common Stock42226A107HQY$11,084,365.09
AMN Healthcare Services, Incorporated001744101AHS$10,997,334.31
Argo Group International Holdings, LimitedG0464B107AGII$10,510,913.73
IMAX Corporation45245E109IMAX$10,434,229.68
QTS REALTY TRUST INC CL A REIT USD.0174736A103QTS$10,219,890.68
Smith (A.O.) Corporation831865209AOS$10,038,605.53
OSI Systems, Incorporated671044105OSIS$9,951,825.23
DexCom, Incorporated252131107DXCM$9,902,958.88
Monro Muffler Brake Incorporated610236101MNRO$9,667,335.63
Stifel Financial Corpcommo860630102SF$9,481,295.42
Cypress Semiconductor232806109CY$9,319,091.53
LPL Financial Holdings Incorporated Common Stock50212V100LPLA$9,313,165.73
Hub Group Incorporated-Cl A443320106HUBG$9,261,475.55
KAR Auction Services, Incorporated48238T109KAR$9,131,204.32
Trueblue Incorporated89785X101TBI$9,017,174.95
Lions Gate Entertainment Corp535919203LGF$8,785,018.17
Gentherm Incorporated37253A103THRM$8,776,119.59
Acxiom Corporation005125109ACXM$8,772,342.64
Boise Cascade CO Common Stock Usd.0109739D100BCC$8,665,113.23
Maximus Incorporated577933104MMS$8,577,649.33
Comfort Systems Usa Inc199908104FIX$8,526,797.38
Infinera Corporation45667G103INFN$8,519,043.56
Teradyne Incorporated880770102TER$8,516,330.09
PTC Incorporated69370C100PTC$8,511,562.81
Marketo Incorporated Common Stock Usd.000157063L107MKTO$8,455,234.32
Krispy Kreme Doughnuts, Incorporated501014104KKD$8,412,741.68
Copart Incorporated217204106CPRT$8,401,221.96
Cornerstone Ondemand Incorporated Common Stock21925Y103CSOD$8,311,787.75
Vantiv, Incorporated92210H105VNTV$8,309,720.08
On Assignment, Incorporated682159108ASGN$8,303,863.89
BURLINGTON STORES INC COMMON STOCK USD.0001122017106BURL$8,190,738.12
Microsemi Corporation595137100MSCC$8,143,185.75
Akorn, Incorporated009728106AKRX$8,044,412.18
West Corporation Common Stock Usd.001952355204WSTC$7,948,611.33
Dicks Sporting Goods253393102DKS$7,929,081.36
PARTY CITY HOLDCO INC COMMON STOCK USD.01702149105PRTY$7,797,426.74
Radware, Ltd.M81873107RDWR$7,773,550.53
Pgt Incorporated69336V101PGTI$7,758,203.85
Wabash National Corporation929566107WNC$7,718,912.59
2U INC COMMON STOCK USD.00190214J101TWOU$7,718,142.29
NEVRO CORP COMMON STOCK USD.00164157F103NVRO$7,585,861.00
EVOLENT HEALTH INC A COMMON STOCK USD.0130050B101EVH$7,540,350.43
Endologix, Incorporated29266S106ELGX$7,416,162.31
Signature Bank82669G104SBNY$7,409,150.50
SKECHERS U.S.A., Incorporated?Cl A830566105SKX$7,305,372.77
VIRTU FINANCIAL INC CLASS A COMMON STOCK USD.00001928254101VIRT$7,282,742.66
Diamondback Energy, Incorporated25278X109FANG$7,225,940.12
Brinker International, Incorporated109641100EAT$7,048,843.92
Swift Transportation CO Common Stock Usd.00187074U101SWFT$7,005,506.33
Alnylam Pharmeceuticals, Incorporated02043Q107ALNY$6,989,085.10
Ensign Group Incorporated29358P101ENSG$6,915,048.92
Atricure Incorporated Common Stock Usd.00104963C209ATRC$6,908,568.70
Analogic Corp032657207ALOG$6,863,448.23
Mobile Mini Inc60740F105MINI$6,858,021.90
MEDIA GENERAL INC COMMON STOCK NPV58441K100MEG$6,836,993.80
Astronics Corp046433108ATRO$6,746,144.86
TELADOC INC COMMON STOCK USD.00187918A105TDOC$6,730,749.52
The Ultimate Software Group, Incorporated90385D107ULTI$6,642,141.24
BENEFITFOCUS INC COMMON STOCK USD.00108180D106BNFT$6,616,699.23
Calgon Carbon Corporation129603106CCC$6,485,548.57
Lifepoint Hospitals Inccom53219L109LPNT$6,391,124.72
Cerus Corp157085101CERS$6,283,542.59
DYNEGY INC COMMON STOCK USD.0126817R108DYN$6,245,352.87
Ruckus Wireless Incorporated Common Stock781220108RKUS$6,152,524.18
Roadrunner Transportation Sy76973Q105RRTS$6,136,941.02
Bottomline Technologies Incorporated101388106EPAY$6,118,686.18
INOGEN INC COMMON STOCK USD.00145780L104INGN$6,085,874.80
Steel Dynamics, Incorporated858119100STLD$6,066,076.44
Nci Building Systems Incorporated Common Stock Usd.01628852204NCS$6,016,740.55
Esterline Technologies Corporation297425100ESL$5,873,071.92
Genesee & Wyoming Incorporated371559105GWR$5,816,659.73
Portola Pharmaceuticals Incorporated Common Stock737010108PTLA$5,804,771.82
Capital Senior Living Corp140475104CSU$5,751,260.25
Synchronoss Technologies Incorporated87157B103SNCR$5,653,961.90
Whitewave Foods CO A Common Stock Usd.01966244105WWAV$5,490,793.63
ZOE S KITCHEN INC COMMON STOCK USD.0198979J109ZOES$5,433,811.29
The Spectranetics Corporation84760C107SPNC$5,341,609.19
MEMORIAL RESOURCE DEVELOPMEN COMMON STOCK USD.0158605Q109MRD$5,328,975.22
Tesaro Incorporated881569107TSRO$5,293,488.13
Form Factor Incorporated346375108FORM$5,234,987.92
Pandora Media Incorporated698354107P$5,223,096.54
Celldex Therapeutics Incorporated15117B103CLDX$5,185,638.98
INTREXON CORP COMMON STOCK46122T102XON$5,091,493.29
Constellium Nv Class A Common Stock Eur.02N22035104CSTM$5,048,058.44
LDR HOLDING CORP COMMON STOCK USD.00150185U105LDRH$4,964,032.00
Flotek Industries Incorporated343389102FTK$4,931,652.87
Virtus Investment Partners Incorporated92828Q109VRTS$4,825,761.76
TETRAPHASE PHARMACEUTICALS I COMMON STOCK USD.00188165N105TTPH$4,790,046.09
Medidata Solutions, Incorporated58471A105MDSO$4,664,952.89
PATRIOT NATIONAL INC COMMON STOCK USD.00170338T102PN$4,606,268.30
Cempra Incorporated15130J109CEMP$4,563,492.75
Accuray Incorporated004397105ARAY$4,529,902.86
Chicos Fas Incorporated168615102CHS$4,524,004.46
Del Frisco S Restaurant Grou Common Stock Usd.001245077102DFRG$4,434,380.15
RADIUS HEALTH INC COMMON STOCK USD.0001750469207RDUS$4,393,570.74
Exact Sciences Corp Common Stock Usd.0130063P105EXAS$4,292,888.90
EVERYDAY HEALTH INC COMMON STOCK USD.01300415106EVDY$4,250,384.58
Applied Micro Circuits Corp.03822W406AMCC$4,237,553.72
ZILLOW GROUP INC A COMMON STOCK USD.000198954M101Z$3,970,489.10
Rpx Corp Common Stock74972G103RPXC$3,936,634.81
Hornbeck Offshore Services Incorporated440543106HOS$3,922,817.91
FRESHPET INC COMMON STOCK USD.001358039105FRPT$3,882,011.95
MALIBU BOATS INC A COMMON STOCK USD.0156117J100MBUU$3,830,137.92
Gaslog Ltd Common Stock Usd.01G37585109GLOG$3,757,640.82
FLEXION THERAPEUTICS INC COMMON STOCK USD.00133938J106FLXN$3,473,018.08
SERVISFIRST BANCSHARES INC COMMON STOCK USD.00181768T108SFBS$3,308,301.85
Nanometrics Incorporated630077105NANO$3,018,490.77
Modine Manufacturing Company607828100MOD$2,986,868.77
Exar Corp300645108EXAR$2,756,963.51
Semtech Corpcommon Stock816850101SMTC$2,718,193.64
Amag Pharmaceuticals Incorporated00163U106AMAG$2,609,632.07
ONCOMED PHARMACEUTICALS INC COMMON STOCK USD.00168234X102OMED$2,539,621.39
RING ENERGY INC COMMON STOCK USD.00176680V108REI$1,941,301.61
Pernix Therapeutics Holdings71426V108PTX$1,670,793.34
VTV THERAPEUTICS INC CL A COMMON STOCK USD.01918385105VTVT$300,963.84