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

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Wells Fargo Traditional Small Cap Growth Fund

Holdings as of 12/31/2015
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
Fleetmatics Group PLC Common StockG35569105FLTX$3,769,227.48
Bottomline Technologies Incorporated101388106EPAY$3,716,250.00
Sonic Corporation835451105SONC$3,554,100.00
LogMeIn, Incorporated54142L109LOGM$3,355,000.00
Clubcorp Holdings Inc Common Stock Usd.0118948M108MYCC$3,288,600.00
Cooper Standard Holding Common stock USD.00121676P103CPS$3,258,780.00
The Ultimate Software Group, Incorporated90385D107ULTI$3,142,627.74
Euronet Worldwide Incorporated298736109EEFT$3,128,976.00
Stewart Information Services Corporation860372101STC$2,799,750.00
Globus Medical, Incorporated?Cl A379577208GMED$2,782,000.00
Shutterfly, Incorporated82568P304SFLY$2,673,600.00
PRA Group, Incorporated69354N106PRAA$2,601,750.00
Surgical Care Affiliates Inc86881L106SCAI$2,587,650.00
Krispy Kreme Doughnuts, Incorporated501014104KKD$2,561,900.00
Littelfuse Inccmmn Stk537008104LFUS$2,461,230.00
H&e Equipment Services404030108HEES$2,447,200.00
Amag Pharmaceuticals Incorporated00163U106AMAG$2,415,200.00
IMPRIVATA INC COMMON STOCK USD.00145323J103IMPR$2,373,000.00
Apogee Enterprises, Inc.037598109APOG$2,306,030.00
HORIZON PHARMA PLC COMMON STOCK USD.0001G4617B105HZNP$2,275,350.00
CIMPRESS NV COMMON STOCK USD.001N20146101CMPR$2,215,122.00
Motorcar Parts of America In620071100MPAA$2,197,650.00
Mobile Mini Inc60740F105MINI$2,179,100.00
Bofi Holding Incorporated05566U108BOFI$2,105,000.00
Advisory Board Company00762W107ABCO$2,009,205.00
Nautilus Incorporated63910B102NLS$2,006,400.00
Integrated Device Technology458118106IDTI$1,976,250.00
INTERSECT ENT INC COMMON STOCK USD.00146071F103XENT$1,912,500.00
Ensign Group Incorporated29358P101ENSG$1,900,920.00
Emergent Biosolutions Incorporated29089Q105EBS$1,848,462.00
SUMMIT MATERIALS INC CL A COMMON STOCK USD.0186614U100SUM$1,830,654.00
Rexnord Holdings Incorporated Common Stock Usd.0176169B102RXN$1,721,400.00
Charles River Laboratories International Incorporated159864107CRL$1,607,800.00
INOGEN INC COMMON STOCK USD.00145780L104INGN$1,603,600.00
Akorn, Incorporated009728106AKRX$1,492,400.00
Capital Senior Living Corp140475104CSU$1,380,932.00
Repligen Corp759916109RGEN$1,340,946.00
Echo Global Logistics Incorporated27875T101ECHO$1,319,233.00
Avg TechnologiesN07831105AVG$1,303,250.00
Therapeutics Md Incorporated Common Stock Usd.188338N107TXMD$1,282,769.00
Medidata Solutions, Incorporated58471A105MDSO$1,207,605.00
Ellie Mae Incorporated28849P100ELLI$1,204,600.00
Cavium Incorporated14964U108CAVM$1,117,070.00
Guidewire Software Incorporated Common Stock Usd.000140171V100GWRE$1,082,880.00
FRESHPET INC COMMON STOCK USD.001358039105FRPT$1,061,250.00
ZOE S KITCHEN INC COMMON STOCK USD.0198979J109ZOES$1,035,260.00
Exact Sciences Corp Common Stock Usd.0130063P105EXAS$1,015,300.00
Novavax Incorporated670002104NVAX$671,200.00
ASPEN AEROGELS INC COMMON STOCK USD.0000104523Y105ASPN$667,700.00
Generac Holdings Incorporated368736104GNRC$654,940.00
Wageworks Incorporated930427109WAGE$595,254.40
Qlik Technologies Incorporated Common Stock74733T105QLIK$569,880.00
Carpenter Technologycommon144285103CRS$514,590.00
BLACKHAWK NETWORK HOLDINGS I COMMON STOCK USD.00109238E104HAWK$442,100.00
Casey's General Stores, Inc.147528103CASY$361,350.00