C000163723 Holdings — Wells Fargo Emerging Markets Equity Income Fund

All 100 reported holdings of Wells Fargo Emerging Markets Equity Income Fund (C000163723) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Taiwan Semiconductor Manufacturing Co Ltd13.21%$54.36M
Samsung Electronics Co Ltd7.84%$32.26M
SK hynix Inc4.45%$18.31M
Tencent Holdings Ltd3.91%$16.08M
Alibaba Group Holding Ltd3.27%$13.46M
MediaTek Inc3.05%$12.57M
Allspring Government Money Mar2.31%$9.51M
China Construction Bank Corp1.93%$7.94M
Lite-On Technology Corp1.43%$5.89M
ASE Technology Holding Co Ltd1.38%$5.67M
Contemporary Amperex Technology Co Ltd1.22%$5.02M
Embassy Office Parks REIT1.14%$4.71M
Grupo Financiero Banorte SAB de CV1.05%$4.31M
Hyundai Motor Co0.96%$3.96M
Baidu Inc0.94%$3.89M
FirstRand Ltd0.94%$3.85M
State Bank of India0.91%$3.75M
ASMedia Technology Inc0.91%$3.74M
Delta Electronics Inc0.90%$3.69M
Bajaj Auto Ltd0.89%$3.68M
Bank of Maharashtra0.86%$3.55M
Southern Copper Corp0.85%$3.51M
Anglo American PLC0.84%$3.46M
Power Grid Corp of India Ltd0.84%$3.45M
Piraeus Bank SA0.83%$3.40M
Nuvama Wealth Management Ltd0.81%$3.33M
Industrial & Commercial Bank of China Ltd0.80%$3.31M
Shriram Finance Ltd0.80%$3.31M
KT Corp0.79%$3.24M
Hana Financial Group Inc0.78%$3.23M
Ashok Leyland Ltd0.77%$3.18M
Nippon Life India Asset Management Ltd0.77%$3.17M
Budimex SA0.76%$3.14M
Construtora Tenda S/A0.73%$3.00M
Ping An Insurance Group Co of China Ltd0.73%$3.00M
CITIC Securities Co Ltd0.73%$3.00M
KB Financial Group Inc0.71%$2.93M
Hon Hai Precision Industry Co Ltd0.71%$2.91M
NHPC Ltd0.71%$2.91M
WuXi AppTec Co Ltd0.71%$2.91M
Petroleo Brasileiro SA - Petrobras0.70%$2.88M
NARI Technology Co Ltd0.70%$2.88M
Telefonica Brasil SA0.70%$2.86M
Adnoc Gas PLC0.69%$2.84M
Airtac International Group0.66%$2.71M
China Resources Land Ltd0.66%$2.70M
Cia de Saneamento Basico do Estado de Sao Paulo SABESP0.64%$2.64M
Midea Group Co Ltd0.63%$2.59M
ANTA Sports Products Ltd0.62%$2.53M
Saudi National Bank/The0.61%$2.52M
Powszechna Kasa Oszczednosci Bank Polski SA0.61%$2.51M
Trip.com Group Ltd0.61%$2.50M
Credicorp Ltd0.59%$2.44M
China Overseas Land & Investment Ltd0.58%$2.37M
Banco BTG Pactual SA0.57%$2.33M
Cia de Minas Buenaventura SAA0.57%$2.33M
Inner Mongolia Yili Industrial Group Co Ltd0.56%$2.33M
Advantech Co Ltd0.55%$2.25M
Weg SA0.54%$2.24M
Grupo Aeroportuario del Pacifico SAB de CV0.54%$2.23M
Fomento Economico Mexicano SAB de CV0.54%$2.23M
H World Group Ltd0.54%$2.21M
PRIO SA/Brazil0.53%$2.20M
Zoomlion Heavy Industry Science and Technology Co Ltd0.53%$2.18M
Shenzhen Mindray Bio-Medical Electronics Co Ltd0.51%$2.12M
KEPCO Plant Service & Engineering Co Ltd0.51%$2.12M
International Container Terminal Services Inc0.50%$2.07M
Banco Itau Chile SA0.50%$2.07M
Emirates NBD Bank PJSC0.50%$2.06M
Itau Unibanco Holding SA0.49%$2.03M
POSCO Holdings Inc0.49%$2.02M
Kanzhun Ltd0.49%$2.01M
Hyundai Motor India Ltd0.49%$2.00M
Jiangxi Copper Co Ltd0.49%$2.00M
TAV Havalimanlari Holding AS0.49%$2.00M
Pepkor Holdings Ltd0.48%$2.00M
Absa Group Ltd0.48%$1.99M
Yealink Network Technology Corp Ltd0.48%$1.96M
Richter Gedeon Nyrt0.47%$1.94M
Indus Towers Ltd0.47%$1.94M
Largan Precision Co Ltd0.47%$1.93M
Impala Platinum Holdings Ltd0.47%$1.93M
Wiwynn Corp0.46%$1.90M
OTP Bank Nyrt0.46%$1.90M
HDFC Bank Ltd0.46%$1.90M
Public Bank Bhd0.46%$1.89M
BOC Aviation Ltd0.46%$1.89M
WHA Corp PCL0.45%$1.84M
Prologis Property Mexico SA de CV0.44%$1.82M
Yutong Bus Co Ltd0.44%$1.81M
Nan Pao Resins Chemical Co Ltd0.44%$1.80M
Etihad Etisalat Co0.43%$1.77M
HD Hyundai Marine Solution Co Ltd0.43%$1.76M
Kia Corp0.42%$1.73M
Al Rajhi Bank0.39%$1.62M
Kweichow Moutai Co Ltd0.39%$1.59M
Infosys Ltd0.38%$1.57M
Korea Investment Holdings Co Ltd0.37%$1.53M
LG Chem Ltd0.37%$1.51M
Ningbo Joyson Electronic Corp0.35%$1.44M

C000163723 overview: performance, fees, allocation and SEC filings