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

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Wells Fargo Discovery Fund

Holdings as of 3/31/2016
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
ServiceMaster Global Holdings, Incorporated81761R109SERV$74,138,339.04
CoStar Group, Incorporated22160N109CSGP$67,091,825.33
Zayo Group Holdings Inc Common Stock USD.00198919V105ZAYO$63,443,352.00
Vail Resorts, Incorporated91879Q109MTN$58,841,370.00
KAR Auction Services, Incorporated48238T109KAR$58,078,524.08
Aramark03852U106ARMK$57,254,544.00
Paycom Software, Incorporated70432V102PAYC$56,141,876.40
Bright Horizons Family Solut Common Stock Usd.001109194100BFAM$54,823,119.66
Vca Antech Incorporated918194101WOOF$54,540,875.97
Allegion PLC Common stock USD.01G0176J109ALLE$53,815,837.00
Euronet Worldwide, Incorporated298736109EEFT$52,629,216.50
Vantiv, Incorporated92210H105VNTV$52,516,027.80
Epam Systems Incorporated29414B104EPAM$51,708,676.32
Take-two Interactive S/war874054109TTWO$51,246,268.00
Align Technology, Incorporated, Common Stock016255101ALGN$51,134,870.85
Wex Incorporated Common Stock Usd.0196208T104WEX$49,874,288.00
Tyler Technologies Incorporated902252105TYL$49,266,246.87
Broadridge Finl Solutions Incorporated11133T103BR$49,073,094.00
Smith (A.O.) Corporation831865209AOS$49,036,806.00
HD SUPPLY HOLDINGS INC COMMON STOCK USD.0140416M105HDS$47,702,714.39
Cinemark Holdings, Incorporated17243V102CNK$47,562,569.33
SEI Investments Company784117103SEIC$46,752,256.95
Vulcan Materials Incorporated929160109VMC$45,500,670.00
Hologic, Incorporated436440101HOLX$44,015,100.00
MICHAELS COS INC/THE COMMON STOCK USD.0677559408Q106MIK$43,055,675.44
Guidewire Software Incorporated Common Stock Usd.000140171V100GWRE$42,672,331.68
Ulta Salon Cosmetics & Fragrance Incorporated90384S303ULTA$42,661,548.00
Constellation Brands, Incorporated21036P108STZ$41,437,490.13
Carlisle Companies Incorporated142339100CSL$41,081,460.50
CBRE Group, Incorporated12504L109CBG$40,788,946.00
ORBITAL ATK INC COMMON STOCK USD.0168557N103OA$40,470,570.00
DAVE + BUSTER S ENTERTAINMEN COMMON STOCK USD.01238337109PLAY$40,163,127.48
Cambrex Corporation132011107CBM$39,833,200.00
ServiceNow, Incorporated81762P102NOW$39,767,000.00
Axalta Coating Systems LimitedG0750C108AXTA$38,853,403.20
Gentherm Incorporated37253A103THRM$37,781,770.06
Evercore Partners Incorporated?Cl A29977A105EVR$37,549,800.00
Acuity Brands, Incorporated00508Y102AYI$36,668,461.44
Flir Systems Incorporated302445101FLIR$36,577,795.00
Integra Lifesciences Holdings457985208IART$36,563,142.72
Old Dominion679580100ODFL$36,111,824.38
Spirit Airlines Incorporated Common Stock848577102SAVE$36,096,217.64
DexCom, Incorporated252131107DXCM$35,847,855.43
Harris Corporation413875105HRS$33,674,450.00
Lithia Motors Inc-cl A536797103LAD$32,165,210.94
Pool Corporation73278L105POOL$31,577,626.00
Ligand Pharmaceuticals-cl B53220K504LGND$30,161,898.50
Wabco Holdings Incorporated92927K102WBC$28,986,012.00
HealthEquity, Incorporated, Common Stock42226A107HQY$28,274,336.34
Masco Corporation574599106MAS$28,132,025.00
Air Lease Corp Common Stock Usd.0100912X302AL$27,603,928.00
Ball Corporation058498106BLL$27,525,069.00
Cognex Corporation192422103CGNX$27,447,675.50
CALERES INC COMMON STOCK USD.01129500104CAL$27,173,733.18
Wabtec Corporation929740108WAB$27,142,156.35
HUBSPOT INC COMMON STOCK USD.001443573100HUBS$27,136,002.00
TRANSUNION COMMON STOCK USD.0189400J107TRU$27,135,108.00
Raymond James Financial Incorporated754730109RJF$27,035,814.60
Imperva Incorporated Common Stock Usd.000145321L100IMPV$26,768,333.00
Proto Labs Incorporated743713109PRLB$26,400,549.76
Columbia Sportswear Company198516106COLM$24,113,576.19
Diamondback Energy, Incorporated25278X109FANG$23,706,994.70
Tableau Software, Incorporated?Cl A87336U105DATA$22,396,761.42
JB Hunt Transport Services445658107JBHT$22,289,904.00
NEVRO CORP COMMON STOCK USD.00164157F103NVRO$21,955,352.48
Burlington Stores, Incorporated, Common Stock122017106BURL$21,213,728.00
Teleflex Incorporated879369106TFX$19,713,861.58
Alnylam Pharmeceuticals, Incorporated02043Q107ALNY$18,916,555.51
INTERSECT ENT INC COMMON STOCK USD.00146071F103XENT$18,613,749.00
Wells Fargo Cash Investment Money Market Fund9499999G3N/A$18,560,131.02
Brunswick Corporation117043109BC$17,968,510.00
Fleetmatics Group PLC Common StockG35569105FLTX$16,130,441.88
ULTRAGENYX PHARMACEUTICAL IN COMMON STOCK USD.00190400D108RARE$16,061,747.00
LENDINGTREE INC COMMON STOCK USD.0152603B107TREE$15,967,474.00
BLACK KNIGHT FINANCIAL CL A COMMON STOCK USD.000109214X100BKFS$15,355,164.47
BLUEBIRD BIO INC COMMON STOCK USD.0109609G100BLUE$10,455,000.00
MASONITE INTERNATIONAL CORP COMMON STOCK575385109DOOR$10,048,550.73
Prothena Corporation PLC Common Stock Usd.01G72800108PRTA$9,216,670.68
Amedisys Incorporated023436108AMED$2,595,858.00