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

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Wells Fargo Emerging Growth 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
MarketAxess Holdings Incorporated57060D108MKTX$28,283,806.68
Proofpoint, Incorporated743424103PFPT$27,524,046.88
Acadia Healthcare Company, Incorporated, Common Stock00404A109ACHC$26,139,930.86
Interxion Holding N.V. Common StockN47279109INXN$19,933,093.84
Envestnet, Incorporated29404K106ENV$19,061,337.93
Q2 Holdings Inc Common Stock74736L109QTWO$17,537,717.00
SPS Commerce, Incorporated78463M107SPSC$17,252,070.28
WageWorks, Incorporated930427109WAGE$16,797,824.50
Ligand Pharmaceuticals-cl B53220K504LGND$16,424,014.73
On Assignment, Incorporated682159108ASGN$16,326,626.17
Cynosure Incorporated232577205CYNO$16,065,045.57
HealthEquity, Incorporated, Common Stock42226A107HQY$16,049,384.58
Callidus Software Incorporated13123E500CALD$15,285,135.88
Motorcar Parts of America In620071100MPAA$14,565,313.40
ExamWorks Group, Incorporated30066A105EXAM$14,185,194.57
Paycom Software, Incorporated70432V102PAYC$13,830,340.87
The Spectranetics Corporation84760C107SPNC$13,320,336.98
LENDINGTREE INC COMMON STOCK USD.0152603B107TREE$12,800,728.97
Nxstage Medical Incorporated67072V103NXTM$12,664,137.94
NEVRO CORP COMMON STOCK USD.00164157F103NVRO$12,192,622.09
INOGEN INC COMMON STOCK USD.00145780L104INGN$11,758,472.70
INC RESEARCH HOLDINGS INC A COMMON STOCK USD.0145329R109INCR$11,223,585.92
G-III Apparel Group, Limited36237H101GIII$11,167,796.60
Lithia Motors Inc-cl A536797103LAD$10,514,976.89
Icon PLC Common Stock Eur.06G4705A100ICLR$10,190,256.09
IMAX Corporation45245E109IMAX$9,933,720.71
RSP PERMIAN INC COMMON STOCK USD.0174978Q105RSPP$9,813,071.69
CYBERARK SOFTWARE LTD/ISRAEL COMMON STOCK ILS.01M2682V108CYBR$9,748,277.74
HABIT RESTAURANTS INC/THE A COMMON STOCK USD.0140449J103HABT$9,649,449.87
HUBSPOT INC COMMON STOCK USD.001443573100HUBS$9,635,227.69
Fleetmatics Group PLC Common StockG35569105FLTX$9,354,620.80
Zeltiq Aesthetics Incorporated Common Stock Usd.00198933Q108ZLTQ$8,893,217.09
SPORTSMAN S WAREHOUSE HOLDIN COMMON STOCK USD.0184920Y106SPWH$8,712,018.21
Grand Canyon Education Incorporated38526M106LOPE$8,649,051.11
Qlik Technologies Incorporated Common Stock74733T105QLIK$8,543,268.50
Repligen Corp759916109RGEN$8,405,521.52
Apogee Enterprises, Inc.037598109APOG$8,090,794.01
RINGCENTRAL INC CLASS A COMMON STOCK USD.000176680R206RNG$8,068,967.98
Microsemi Corporation595137100MSCC$8,059,235.13
Pdc Energy Incorporated Common Stock Usd.0169327R101PDCE$7,866,777.26
Abiomed Incorporated003654100ABMD$7,746,488.92
Infinera Corporation45667G103INFN$7,689,297.76
Demandware, Incorporated24802Y105DWRE$7,672,126.13
Natus Medical Incorporated639050103BABY$7,514,531.62
DIPLOMAT PHARMACY INC COMMON STOCK25456K101DPLO$7,414,553.69
Dycom Industriescommon Sto267475101DY$7,355,702.32
Stamps.com Inc852857200STMP$7,346,369.71
Wells Fargo Cash Investment Money Market Fund9499999G3N/A$7,278,710.55
Monolithic Power Systems Incorporated609839105MPWR$7,274,316.66
MILACRON HOLDINGS CORP COMMON STOCK USD.0159870L106MCRN$7,151,554.88
Synchronoss Technologies Incorporated87157B103SNCR$7,066,922.68
PAYLOCITY HOLDING CORP PRIVATE COMP USD.00170438V106PCTY$6,961,471.57
Pacira Pharmaceuticals Incorporated695127100PCRX$6,680,196.66
Cavium Incorporated14964U108CAVM$6,519,020.09
LogMeIn, Incorporated54142L109LOGM$6,248,551.19
Fiesta Restaurant Group, Incorporated31660B101FRGI$6,069,938.55
INTERSECT ENT INC COMMON STOCK USD.00146071F103XENT$5,885,798.44
John Bean Technologies Corporation477839104JBT$5,750,896.68
WINGSTOP INC COMMON STOCK USD.01974155103WING$5,531,849.38
ULTRAGENYX PHARMACEUTICAL IN COMMON STOCK USD.00190400D108RARE$5,345,175.34
Cerus Corp157085101CERS$5,298,184.54
Jack In The Box Inc466367109JACK$5,120,672.92
VEEVA SYSTEMS INC CLASS A COMMON STOCK USD.00001922475108VEEV$4,946,668.43
Tyler Technologies Incorporated902252105TYL$4,714,260.45
ENTELLUS MEDICAL INC COMMON STOCK USD.00129363K105ENTL$4,707,081.74
Align Technology, Incorporated, Common Stock016255101ALGN$4,600,826.97
ZOE S KITCHEN INC COMMON STOCK USD.0198979J109ZOES$4,577,600.89
Heico Corpcommon Stock422806109HEI$4,540,645.45
GLAUKOS CORP COMMON STOCK USD.001377322102GKOS$4,448,917.04
Adeptus Health Inc Class A Common Stock Usd.01006855100ADPT$4,374,637.43
XACTLY CORP COMMON STOCK USD.00198386L101XTLY$3,896,393.84
2U INC COMMON STOCK USD.00190214J101TWOU$3,698,205.94
CEB INC COMMON STOCK USD.01125134106CEB$3,666,065.41
Multi-color Corp625383104LABL$3,632,082.86
Matador Resources CO Common Stock Usd.01576485205MTDR$3,627,583.54
MCBC HOLDINGS INC COMMON STOCK USD.0155276F107MCFT$3,561,286.58
Guidewire Software Incorporated Common Stock Usd.000140171V100GWRE$3,515,463.32
TELADOC INC COMMON STOCK USD.00187918A105TDOC$3,492,025.50
PLANET FITNESS INC CL A COMMON STOCK USD.000172703H101PLNT$3,443,200.82
Gentherm Incorporated37253A103THRM$3,418,486.92
Mueller Water Products Incorporated Class A624758108MWA$3,146,418.46
RAPID7 INC COMMON STOCK USD.01753422104RPD$3,041,097.84
Five Below Common Stock Usd.0133829M101FIVE$2,855,924.51
Financial Engines, Incorporated317485100FNGN$2,766,306.32
Maximus Incorporated577933104MMS$2,699,023.51
AAC HOLDINGS INC COMMON STOCK USD.001000307108AAC$2,682,974.24
G&K Services Incorporated361268105GK$2,474,183.27
CONFORMIS INC COMMON STOCK USD.0000120717E101CFMS$2,474,145.20
Qualys Incorporated74758T303QLYS$2,252,894.17
Universal Electrs Incorporated913483103UEIC$2,056,762.32
RADIUS HEALTH INC COMMON STOCK USD.0001750469207RDUS$2,050,522.51
HORTONWORKS INC COMMON STOCK USD.0001440894103HDP$1,576,485.51