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Wells Fargo & Company/mn

$575.3B assets · 6,617 holdings · Q2 2026 · Filed 14 AUG 2026

About Wells Fargo & Company/mn’s 13F portfolio

Wells Fargo & Company/mn is an institutional investment manager that discloses its US-listed holdings each quarter through an SEC Form 13F filing. As of , Wells Fargo & Company/mn reported $575.3B across 6,617 US-listed positions (). Its largest position is APPLE INC (AAPL) at 3.0% of the reported book, and its ten biggest holdings make up 20% of the portfolio. Browse every manager in the fund managers directory, or see the legendary investors we track on the superinvestors page.

$575.3B
Assets (13F)
#21
of 8,736 by size
6,617
Holdings
20%
Top-10 weight
4,326
Buys
2,258
Sells
Top holdings · Q2 2026
6,617 total
#StockPrice% of portfolioSharesValue
1
NASDAQ: AAPL
APPLE INC
$313.45
+1.15%
3.0%
59.9M$17.3B
2
NYSE Arca: IVV
ISHARES TR
$769.65
+0.00%
2.7%
20.4M$15.3B
3
NASDAQ: MSFT
MICROSOFT CORP
$496.37
+0.95%
2.2%
33.4M$12.5B
4
NASDAQ: NVDA
NVIDIA CORPORATION
$209.66
−1.59%
2.0%
58.9M$11.8B
5
NYSE Arca: ITOT
ISHARES TR
$167.93
+0.02%
1.9%
66.6M$10.9B
6
NASDAQ: GOOGL
ALPHABET INC
$342.00
−1.43%
1.8%
29.2M$10.4B
7
NASDAQ: AVGO
BROADCOM INC
$355.59
−0.32%
1.7%
25.1M$9.5B
8
NYSE Arca: SPY
STATE STR SPDR S&P 500 ETF T
$766.08
+0.02%
1.6%
12.0M$9.0B
9
NYSE Arca: VO
VANGUARD INDEX FDS
$83.12
+0.40%
1.5%
109.7M$8.8B
10
Cboe BZX: IEFA
ISHARES TR
$100.96
−0.44%
1.5%
90.7M$8.8B
11
NASDAQ: AMZN
AMAZON COM INC
$260.28
−0.30%
1.4%
34.7M$8.3B
12
NYSE: JPM
JPMORGAN CHASE & CO
$356.50
−0.05%
1.3%
23.4M$7.6B
13
NYSE Arca: IEMG
ISHARES INC
$81.85
−0.05%
1.3%
91.1M$7.5B
14
NASDAQ: GOOG
ALPHABET INC
$339.10
−1.23%
1.1%
18.7M$6.6B
15
NYSE Arca: AGG
ISHARES TR
$97.86
−0.15%
1.1%
65.0M$6.4B
16
NASDAQ: META
META PLATFORMS INC
$576.14
+1.07%
1.0%
10.0M$5.6B
17
NYSE: LLY
ELI LILLY & CO
$1,189.41
−3.59%
1.0%
4.6M$5.6B
18
NASDAQ: QQQ
INVESCO QQQ TR
$711.37
+0.09%
0.9%
7.2M$5.3B
19
NYSE Arca: IWR
ISHARES TR
$113.24
+0.27%
0.9%
45.4M$5.0B
20
NYSE: V
VISA INC
$383.90
−0.06%
0.8%
13.9M$4.8B
21
NYSE Arca: XLK
SELECT SECTOR SPDR TR
$182.84
+0.61%
0.8%
24.4M$4.7B
22
NYSE Arca: VOO
VANGUARD INDEX FDS
$704.20
+0.03%
0.8%
6.5M$4.4B
23
NASDAQ: CSCO
CISCO SYS INC
$112.36
+1.13%
0.8%
37.7M$4.4B
24
NYSE: JNJ
JOHNSON & JOHNSON
$270.00
−1.15%
0.8%
17.4M$4.4B
25
NYSE Arca: IJH
ISHARES TR
$76.62
+0.63%
0.8%
57.0M$4.4B

Showing 1–25 of 500 positions on this page — of 6,617 total reported in this 13F. Positions beyond the first 500 are not yet available on this page.

Sector allocation
  • Technology17%
  • Financial Services6.3%
  • Industrials5.1%
  • Healthcare4.8%
  • Communication Services4.6%
  • Consumer Cyclical3.7%
  • Consumer Defensive2.6%
  • Energy2.0%
  • Utilities1.4%
  • Basic Materials1.0%
  • Real Estate0.5%
Recent activity · vs 2026-03-31
Bought4326
  • AddedAAPLAPPLE INC+2.0%$17.3B
  • AddedIVVISHARES TR+4.3%$15.3B
  • AddedMSFTMICROSOFT CORP+0.3%$12.5B
  • AddedNVDANVIDIA CORPORATION+3.3%$11.8B
  • AddedITOTISHARES TR+1.0%$10.9B
  • AddedGOOGLALPHABET INC+5.0%$10.4B
  • AddedSPYSTATE STR SPDR S&P 500 ETF T+27.4%$9.0B
  • AddedVOVANGUARD INDEX FDS+295%$8.8B
  • AddedIEFAISHARES TR+6.5%$8.8B
  • AddedJPMJPMORGAN CHASE & CO+1.5%$7.6B
Sold2258
  • ReducedAVGOBROADCOM INC−2.1%$9.5B
  • ReducedAMZNAMAZON COM INC−0.8%$8.3B
  • ReducedCSCOCISCO SYS INC−2.0%$4.4B
  • ReducedVEAVANGUARD TAX-MANAGED FDS−5.5%$4.1B
  • ReducedGSLCGOLDMAN SACHS ETF TR−2.3%$3.9B
  • ReducedADIANALOG DEVICES INC−1.8%$3.3B
  • ReducedWMTWALMART INC−1.7%$3.3B
  • ReducedCVXCHEVRON CORPORATION−2.7%$2.9B
  • ReducedCOSTCOSTCO WHOLESALE CORPORATION−0.2%$2.9B
  • ReducedVWOVANGUARD INTL EQUITY INDEX F−4.5%$2.4B
5%+ Beneficial Ownership Stakes · 2 passive (13G)

Companies where this manager has disclosed a stake of more than 5% of a class of shares, as reported to the SEC on Schedule 13D (activist) or 13G (passive). Figures are as disclosed in each filing — tap a date to open the source document.

#StockType% of classSharesFiled
1
ECF
Ellsworth Growth and Income
13G6.8% · 2 classes932KFiled 28 JUL 2026
2
MPA
BlackRock MuniYield PA Quality
13G6.7% · 2 classes871KFiled 28 JUL 2026

Showing all 2 disclosed stakes.

Reading Wells Fargo & Company/mn’s 13F portfolio

Wells Fargo & Company/mn’s $575.3B 13F book is spread across 6,617 reported positions and is broadly diversified — the ten largest names are just 20% of the portfolio. Spread this wide across 6,617 names, no single position dominates, which is typical of large, index-oriented mandates that track broad market exposure. Its five largest positions are AAPL, IVV, MSFT, NVDA and ITOT, led by APPLE INC (AAPL) at 3.0% of the portfolio. The heaviest sector exposure is Technology (17%), then Financial Services (6%).

What Wells Fargo & Company/mn changed last quarter

Between 2026-03-31 and Q2 2026, Wells Fargo & Company/mn was a net buyer: it opened 533 new positions and added to 3,793 more, while trimming 1,811 and closing 447 outright. Against a 6,617-name book, that is moderate turnover, pointing to steady rotation within the portfolio. Its largest new or increased position was APPLE INC (AAPL), and its biggest reduction was BROADCOM INC (AVGO).

What a 13F does and doesn’t reveal

A 13F captures only Wells Fargo & Company/mn’s long positions in US-listed stocks at a single quarter-end, so it is best read as a lagged snapshot rather than a live portfolio. It won’t show shorts, cash, bonds, or holdings listed outside the US, and it never reveals the price paid or the reasoning behind a trade. The signal is in the pattern over time: which names Wells Fargo & Company/mn is building up, trimming, or exiting, and how concentrated the book stays from quarter to quarter.

Frequently asked questions

What is an SEC 13F filing?

A Form 13F is a report that every institutional investment manager with at least $100 million in US-listed securities must file with the SEC within 45 days of each quarter's end. It lists the manager's long positions in US-listed stocks and certain options, with the share count and market value of each. Wells Fargo & Company/mn's profile on this page is built directly from those filings.

How current is the 13F data on Wells Fargo & Company/mn's page?

It reflects Wells Fargo & Company/mn's most recently filed 13F, currently the quarter ending Q2 2026. Because managers have up to 45 days after a quarter closes to file, a 13F is always a slightly lagged view rather than a live portfolio. When Wells Fargo & Company/mn files its next quarterly report, this page refreshes automatically.

Can I see Wells Fargo & Company/mn's complete list of holdings?

This page highlights Wells Fargo & Company/mn's largest positions rather than all 6,617 names in the filing. The complete, position-by-position 13F is public and available from the SEC's EDGAR database under Wells Fargo & Company/mn's filings.

Does a 13F show everything Wells Fargo & Company/mn owns?

No. A 13F only covers long positions in US-listed stocks and certain options. It leaves out short positions, cash, bonds, commodities, foreign-listed stocks, and private holdings, so it is a partial view of Wells Fargo & Company/mn's book rather than its full strategy or total assets.

Is 13F data investment advice?

No. Everything here is educational. 13F positions are disclosed with a delay, cover only long US-listed holdings, and never explain why Wells Fargo & Company/mn made a trade or at what price. Treat it as a research lens, not a recommendation, and speak with a licensed financial advisor before making investment decisions.

Not investment advice. Holdings data comes from public SEC Form 13F filings, which are filed with a delay of up to 45 days and may be amended later. It describes historical, disclosed positions in US-listed securities only, meaning no shorts, cash, or foreign holdings, and it is not a recommendation. Always do your own research and speak with a licensed financial advisor before making investment decisions.