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Wells Fargo Premier Large Company 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
Alexion Pharmaceuticals, Incorporated015351109ALXN$201,319,457.50
Alphabet Inc CL A Common Stock USD.00102079K305GOOGL$187,803,833.90
Facebook, Incorporated30303M102FB$175,470,862.80
Amazon.com, Incorporated023135106AMZN$155,272,209.70
Apple Incorporated037833100AAPL$138,473,740.40
Dollar Tree, Incorporated256746108DLTR$137,488,665.60
Alliance Data Systems Corporation018581108ADS$126,038,480.40
Microchip Technology Incorporated595017104MCHP$125,555,146.60
MasterCard Incorporated57636Q104MA$110,731,422.40
Starbucks Corporation855244109SBUX$106,712,929.80
Visa Incorporated92826C839V$105,273,349.50
Regeneron Pharmaceuticals, Incorporated75886F107REGN$97,515,738.10
Celgene Corporation151020104CELG$95,438,899.68
Union Pacific Company907818108UNP$94,148,108.00
Tractor Supply Company892356106TSCO$87,528,915.00
Dollar General Corporation256677105DG$85,342,750.20
AmerisourceBergen Corporation03073E105ABC$77,851,985.70
Biomarin Pharmaceutical09061G101BMRN$77,074,027.20
Southwest Airlines Company844741108LUV$74,103,676.40
CarMax, Incorporated143130102KMX$73,765,656.30
TD Ameritrade Holding Corporation87236Y108AMTD$72,266,914.20
Fortinet Incorporated Common Stock34959E109FTNT$72,126,444.90
Medtronic Plc Common Stock Usd.1G5960L103MDT$69,613,523.04
United Parcel Service, Incorporated911312106UPS$68,495,551.70
LKQ Corporation501889208LKQ$65,143,332.80
Ecolab Incorporated278865100ECL$64,976,990.40
Arm Holdings PLC Spons ADR ADR Npv042068106ARMH$64,975,045.20
Splunk Incorporated Common Stock848637104SPLK$62,453,867.60
The Home Depot, Incorporated437076102HD$60,686,880.00
NIKE, Incorporated?Cl B654106103NKE$60,570,000.00
Bristol-Myers Squibb Company110122108BMY$60,249,721.50
Accenture plcG1151C101ACN$58,481,335.00
The Walt Disney Company254687106DIS$58,071,411.20
Texas Instruments Incorporated882508104TXN$55,410,717.60
Cognizant Technology Solutions Corporation192446102CTSH$51,138,840.60
Hilton Worldwide Holdings In Common Stock Usd.0143300A104HLT$50,649,306.00
Kansas City Southern485170302KSU$49,961,697.00
Vertex Pharmaceuticals Incorporated92532F100VRTX$49,777,089.70
CVS Caremark Corporation126650100CVS$49,505,839.50
Under Armour, Incorporated904311107UA$49,109,224.20
The TJX Companies, Incorporated872540109TJX$49,050,574.30
Costco Wholesale Corporation22160K105COST$48,424,160.00
Adobe Systems Incorporated00724F101ADBE$47,063,000.60
Delphi Automotive PLCG27823106DLPH$46,241,047.40
Red Hat, Incorporated756577102RHT$45,167,058.30
Estee Lauder Companies Incorporated Class A518439104EL$44,705,420.20
Coca-Cola Enterprises, Incorporated191216100KO$44,440,831.20
The Boeing Company097023105BA$43,560,629.30
Tableau Software, Incorporated?Cl A87336U105DATA$43,214,379.88
salesforce.com, incorporated79466L302CRM$43,014,160.00
Alphabet Inc CL C Common Stock USD.00102079K107GOOG$41,873,480.64
Discover Financial Services254709108DFS$41,679,898.40
Medivation Incorporated58501N101MDVN$41,401,759.80
American Tower Corporation03027X100AMT$41,161,092.00
Microsoft Corporation594918104MSFT$40,837,718.40
Danaher Corporation235851102DHR$40,714,876.80
Concho Resources Incorporated20605P101CXO$40,529,675.60
CSX Corporation126408103CSX$40,057,717.50
Netsuite Incorporated64118Q107N$38,687,417.80
ServiceNow, Incorporated81762P102NOW$38,392,822.40
Sprouts Farmers Market, Incorporated85208M102SFM$37,008,015.18
Avago Technologies Ltd Common StockY0486S104AVGO$36,568,655.55
Akamai Technologies, Incorporated00971T101AKAM$34,487,912.70
Quintiles Transnational Hold Common Stock Usd.0174876Y101Q$34,033,182.82
Praxair, Incorporated74005P104PX$28,993,536.00
Incyte Corp.45337C102INCY$28,269,661.50
Cerner Corporation156782104CERN$25,704,624.00
Charter Communication-a16117M305CHTR$25,450,900.00
Allergan PLC Common Stock Usd.0033G0177J108AGN$25,321,875.00
McKesson Corporation58155Q103MCK$25,034,403.90
Mettler-Toledo International Incorporated592688105MTD$24,163,012.50
Broadcom Corporation111320107BRCM$22,511,638.80
VF Corporation918204108VFC$22,197,727.50
Cisco Systems, Incorporated17275R102CSCO$21,826,917.45
Colgate-Palmolive Company194162103CL$21,259,108.20
Intuitive Surgical Inccomm46120E602ISRG$21,234,700.80
Perrigo Co PLC Common Stock NpvG97822103PRGO$19,854,287.00
Netflix, Incorporated64110L106NFLX$15,771,858.20
Canadian Pacific Railway Limited13645T100CP$14,233,780.00
Chipotle Mexican Grill, Incorporated169656105CMG$6,473,176.50
Norfolk Southern Corporation655844108NSC$4,781,026.80
Wells Fargo Cash Investment Money Market Fund9499999G3N/A$4,511,520.89
EOG Resources, Incorporated26875P101EOG$3,538,084.20