Grundlæggende statistik
Porteføljeværdi $ 24.703.087
Nuværende stillinger 36
Seneste beholdninger, ydeevne, AUM (fra 13F, 13D)

WMSDX - Wells Fargo Municipal Sustainability Fund Administrator Class har afsløret 36 samlede besiddelser i deres seneste SEC-arkivering. Den seneste porteføljeværdi er beregnet til at være $ 24.703.087 USD. Faktiske aktiver under forvaltning (AUM) er denne værdi plus kontanter (som ikke er oplyst). WMSDX - Wells Fargo Municipal Sustainability Fund Administrator Classs største beholdninger er TARRANT CNTY TX CULTURAL EDU F TAREDU 10/41 ADJUSTABLE VAR (US:US87638QBF54) , Shelby County Health Educational and Housing Facilities Board, Shelby County Tennessee Health Educational and Housing Facilities Board Revenue Various (US:US821697L236) , Southcentral Pennsylvania General Authority Revenue (WellSpan Health Obligated Group) PUT (US:US84129NML00) , Charlotte-Mecklenburg Hospital Authority (The) (Carolinas Health Care Systems), Series 2007 C, Ref. VRD RB (US:US160853MS38) , and West Palm Beach (City of), FL, Series 2008 C, VRD RB (US:US955121LY22) . WMSDX - Wells Fargo Municipal Sustainability Fund Administrator Classs nye stillinger omfatter TARRANT CNTY TX CULTURAL EDU F TAREDU 10/41 ADJUSTABLE VAR (US:US87638QBF54) , Shelby County Health Educational and Housing Facilities Board, Shelby County Tennessee Health Educational and Housing Facilities Board Revenue Various (US:US821697L236) , Southcentral Pennsylvania General Authority Revenue (WellSpan Health Obligated Group) PUT (US:US84129NML00) , Charlotte-Mecklenburg Hospital Authority (The) (Carolinas Health Care Systems), Series 2007 C, Ref. VRD RB (US:US160853MS38) , and West Palm Beach (City of), FL, Series 2008 C, VRD RB (US:US955121LY22) .

Top øger dette kvartal

Vi bruger ændringen i porteføljeallokeringen, fordi dette er den mest meningsfulde metrik. Ændringer kan skyldes handler eller ændringer i aktiekurser.

Sikkerhed Aktier
(MM)
Værdi
(MM$)
Portefølje % ΔPortefølje %
0,97 3,9204 3,9204
1,20 4,8500 3,2036
0,70 2,8292 2,8292
0,70 2,8292 2,8292
0,70 2,8292 2,8292
0,70 2,8292 2,8292
0,70 2,8292 2,8292
0,70 2,8292 2,8292
0,70 2,8292 2,8292
0,70 2,8292 2,8292
Top falder i dette kvartal

Vi bruger ændringen i porteføljeallokeringen, fordi dette er den mest meningsfulde metrik. Ændringer kan skyldes handler eller ændringer i aktiekurser.

Sikkerhed Aktier
(MM)
Værdi
(MM$)
Portefølje % ΔPortefølje %
13F og Fondsarkivering

Denne formular blev indsendt den 2024-11-25 for rapporteringsperioden 2024-09-30. Klik på linkikonet for at se den fulde transaktionshistorik.

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2022-07-28: Vigtig note - Vi har ændret behandlingen af kolonnen Δ Portefølje % i denne tabel. Tidligere rapporterede vi det som den procentvise ændring i porteføljeallokeringen. Vi rapporterer det nu som den rå ændring i porteføljeallokeringen (stadig rapporteret som en procent). I formeltermer rapporterede vi det tidligere som 100 * (aktuel allokering - forudgående tildeling) / forudgående tildeling. Vi indberetter det nu som (nuværende tildeling - forudgående tildeling).
Sikkerhed Type Gennemsnitlig aktiekurs Aktier
(MM)
Δ Aktier
(%)
Δ Aktier
(%)
Værdi
($MM)
Portefølje
(%)
ΔPortefølje
(%)
US87638QBF54 / TARRANT CNTY TX CULTURAL EDU F TAREDU 10/41 ADJUSTABLE VAR 1,20 140,00 4,8500 3,2036
US821697L236 / Shelby County Health Educational and Housing Facilities Board, Shelby County Tennessee Health Educational and Housing Facilities Board Revenue Various 0,97 3,9204 3,9204
US84129NML00 / Southcentral Pennsylvania General Authority Revenue (WellSpan Health Obligated Group) PUT 0,80 166,67 3,2333 2,2455
US45204FQE87 / Illinois (State of) Finance Authority (Northshore Edward), Series 2020 D, Ref. VRD RB 0,70 2,8292 2,8292
WINCHESTER VA ECON DEV AUTH REVENUE / DBT (US973122AV61) 0,70 2,8292 2,8292
US20775DTS17 / YALE UNIV CT 16A-1 DFRN 07-01-42/BARC/BUS 0,70 2,8292 2,8292
US91412GSG19 / University of California, Series 2013 AL-2, Ref. VRD RB 0,70 2,8292 2,8292
US914183BL13 / University of Colorado Hospital Authority 0,70 2,8292 2,8292
US6133408D38 / Montgomery (County of), MD, Series 2017 E, VRD GO Bonds 0,70 2,8292 2,8292
US915260CL56 / UNIV HOSPS & CLINICS AUTH WI 0,70 75,00 2,8292 1,5120
US60528AAV61 / CHEVRON/MS FIN CORP 07D DFRN 12-01-30/BOA/BUS 0,70 2,8292 2,8292
US59261AWK95 / New York Metropolitan Transportation Authority Revenue VRDO 0,70 2,8292 2,8292
US544495DU59 / Los Angeles CA Department of Water & Power Revenue VRDO 0,70 2,8292 2,8292
US362848RR67 / City of Gainesville FL Utilities System Revenue 0,70 2,8292 2,8292
US04052EAA64 / PHX CHILDRENS HOSP 19B L=BA V1 0,70 2,8292 2,8292
US68608JXF38 / Oregon State Facilities Authority DV&DP 0,70 2,8292 2,8292
US64579FYK38 / VAR.RT.MUNI NOTE NT 0,70 2,8292 2,8292
US64966G4N93 / NEW YORK CITY GO 08 L3 DFRN SF 04-01-36/ML/BUS 0,70 2,8292 2,8292
DIST OF COLUMBIA WTR & SWR AUTH PUBLIC UTILITY REVENUE / DBT (US254845UH17) 0,70 2,8292 2,8292
NORTH CAROLINA ST HSG FIN AGY HOMEOWNERSHIP REVENUE / DBT (US6582074F94) 0,70 2,8292 2,8292
US4072722A08 / HAMILTON CNTY OH HOSP FACS REV HAMMED 08/51 ADJUSTABLE VAR 0,70 2,8292 2,8292
US160853MS38 / Charlotte-Mecklenburg Hospital Authority (The) (Carolinas Health Care Systems), Series 2007 C, Ref. VRD RB 0,70 2,8292 2,8292
US955121LY22 / West Palm Beach (City of), FL, Series 2008 C, VRD RB 0,70 2,8292 2,8292
US60374VEJ89 / City of Minneapolis MN 0,70 2,8292 2,8292
US49474FUP34 / KING CNTY WA 0,70 2,8292 2,8292
US71884SAA87 / Industrial Development Authority of The City of Phoenix, Arizona Health Care Facilities, Mayo Clinic, Series 2014A 0,70 2,8292 2,8292
SAN ANTONIO TX WTR REVENUE / DBT (US79642GQR64) 0,70 2,8292 2,8292
US914455HD59 / UNIVERSITY MICH UNIV REVS DV&DP 0,70 2,8292 2,8292
US451295ZZ58 / Idaho Health Facilities Authority 0,70 2,8292 2,8292
US19081PEM41 / COBB CNTY HOSP-VAR-EQ 0,70 2,8292 2,8292
US57586EKB64 / VAR.RT.MUNI NOTE NT 0,70 2,8292 2,8292
US606037BE87 / Missouri Development Finance Board, Nelson Gallery Foundation 0,70 2,8292 2,8292
US783186NB17 / Rutgers State University New Jersey Revenue VRDO 0,50 2,0208 2,0208
US57585KSV16 / Massachusetts Health and Educational Facilities Authority, Revenue Bonds, Massachusetts Institute of Technology, Series 2001J-2 0,50 2,0208 2,0208
ALLSPRING GOVERNMENT MONEY MAR / STIV (000000000) 0,34 0,34 1,3867 1,3867
US65819GLN69 / NORTH CAROLINA ST CAPITAL FACS NCSFAC 10/24 FIXED 5 0,09 0,00 0,3638 0,0670