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Wells Fargo Discovery FundSM

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
Servicemaster Global Holding Common Stock Usd.0181761R109SERV$113,186,916.72
Zayo Group Holdings Inc Common Stock USD.00198919V105ZAYO$85,034,820.00
CoStar Group, Incorporated22160N109CSGP$78,056,271.81
Tyler Technologies Incorporated902252105TYL$67,752,431.44
Vail Resorts Incorporated91879Q109MTN$65,620,473.00
Tableau Software, Incorporated?Cl A87336U105DATA$65,302,939.80
Align Technology, Incorporated, Common Stock016255101ALGN$60,388,730.25
SEI Investments Company784117103SEIC$60,317,587.60
Bright Horizons Family Solut Common Stock Usd.001109194100BFAM$60,086,399.60
KAR Auction Services, Incorporated48238T109KAR$59,813,522.16
Aramark03852U106ARMK$59,465,775.00
Allegion PLC Common stock USD.01G0176J109ALLE$59,103,872.00
Paycom Software, Incorporated70432V102PAYC$57,167,608.89
Splunk Incorporated Common Stock848637104SPLK$56,510,529.00
Wex Incorporated Common Stock Usd.0196208T104WEX$55,868,800.00
Euronet Worldwide Incorporated298736109EEFT$54,492,710.50
Carlisle Companies Incorporated142339100CSL$52,963,805.51
Smith (A.O.) Corporation831865209AOS$52,929,849.00
Vca Antech Incorporated918194101WOOF$52,927,215.00
Hologic, Incorporated436440101HOLX$52,862,147.00
DAVE + BUSTER S ENTERTAINMEN COMMON STOCK USD.01238337109PLAY$52,490,429.18
Cinemark Holdings, Incorporated17243V102CNK$52,239,422.93
DexCom, Incorporated252131107DXCM$51,938,768.70
Acuity Brands, Incorporated00508Y102AYI$50,826,249.60
Take-two Interactive S/war874054109TTWO$50,465,740.00
Guidewire Software Incorporated Common Stock Usd.000140171V100GWRE$50,387,970.56
Raymond James Financial Incorporated754730109RJF$49,886,663.20
Alere Incorporated01449J105ALR$49,640,351.91
HD SUPPLY HOLDINGS INC COMMON STOCK USD.0140416M105HDS$49,602,863.31
Vantiv, Incorporated92210H105VNTV$49,050,536.70
CBRE Group, Incorporated12504L109CBG$48,080,032.00
Epam Systems Incorporated29414B104EPAM$46,841,481.52
ORBITAL ATK INC COMMON STOCK USD.0168557N103OA$44,455,584.00
Gentherm Incorporated37253A103THRM$44,405,931.60
MICHAELS COS INC/THE COMMON STOCK USD.0677559408Q106MIK$43,783,791.81
Vulcan Materials Incorporated929160109VMC$43,306,320.00
Axalta Coating Systems LimitedG0750C108AXTA$42,717,178.40
CYBERARK SOFTWARE LTD/ISRAEL COMMON STOCK ILS.01M2682V108CYBR$42,636,716.16
Wabtec Corporation929740108WAB$42,274,794.80
Evercore Partners Incorporated?Cl A29977A105EVR$41,963,727.00
Air Lease Corp Common Stock Usd.0100912X302AL$41,799,780.00
Constellation Brands, Incorporated21036P108STZ$41,358,451.08
Lithia Motors Inc-cl A536797103LAD$40,675,191.06
Ulta Salon Cosmetics & Fragrance Incorporated90384S303ULTA$39,830,500.00
Brunswick Corporation117043109BC$38,983,618.00
Old Dominion679580100ODFL$37,308,552.93
Harman International Industries, Incorporated413086109HAR$34,198,230.00
Imperva Incorporated Common Stock Usd.000145321L100IMPV$33,007,681.46
Broadridge Finl Solutions Incorporated11133T103BR$31,265,487.00
Alnylam Pharmeceuticals, Incorporated02043Q107ALNY$31,034,474.82
Cavium Incorporated14964U108CAVM$31,028,262.00
CALERES INC COMMON STOCK USD.01129500104CAL$30,956,716.80
Harris Corporation413875105HRS$29,745,870.00
Diamondback Energy, Incorporated25278X109FANG$29,607,598.50
Wabco Holdings Incorporated92927K102WBC$29,358,846.00
Medivation Incorporated58501N101MDVN$29,160,138.20
Cognex Corporation192422103CGNX$28,521,804.30
ENVISION HEALTHCARE HOLDINGS COMMON STOCK USD.0129413U103EVHC$28,161,997.85
Spirit Airlines Incorporated Common Stock848577102SAVE$27,489,247.30
Integra Lifesciences Holdings457985208IART$27,166,224.00
ULTRAGENYX PHARMACEUTICAL IN COMMON STOCK USD.00190400D108RARE$27,057,816.00
BLACK KNIGHT FINANCIAL CL A COMMON STOCK USD.000109214X100BKFS$26,481,886.50
Columbia Sportswear Company198516106COLM$26,198,309.16
Fleetmatics Group PLC Common StockG35569105FLTX$25,079,086.20
Cepheid Incorporated15670R107CPHD$23,112,896.30
INTERSECT ENT INC COMMON STOCK USD.00146071F103XENT$21,414,870.00
Newell Rubbermaid Incorporated651229106NWL$21,220,112.00
HealthEquity, Incorporated, Common Stock42226A107HQY$20,138,856.35
Proto Labs Incorporated743713109PRLB$19,728,869.16
Wells Fargo Cash Investment Money Market Fund9499999G3N/A$19,710,882.03
BLUEBIRD BIO INC COMMON STOCK USD.0109609G100BLUE$16,780,686.00
Ligand Pharmaceuticals-cl B53220K504LGND$16,051,581.00
Prothena Corporation PLC Common Stock Usd.01G72800108PRTA$9,185,995.70