UNITED STATES SECURITIES AND EXCHANGE COMMISSION Washington, D.C. 20549 FORM N-CSRS CERTIFIED SHAREHOLDER REPORT OF REGISTERED MANAGEMENT INVESTMENT COMPANIES Investment Company Act file number: 811-09689 Wells Fargo Master Trust (Exact name of registrant as specified in charter) 525 Market St., San Francisco, CA 94105 (Address of principal executive offices) (Zip code) C. David Messman Wells Fargo Funds Management, LLC 525 Market St., San Francisco, CA 94105 (Name and address of agent for service) Registrant's telephone number, including area code: 800-643-9691 Date of fiscal year end: February 28, 2010 Date of reporting period: August 31, 2009 ITEM 1. REPORT TO SHAREHOLDERS =============================== 60 Wells Fargo Advantage Master Portfolios Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED FIXED INCOME PORTFOLIO PRINCIPAL SECURITY NAME INTEREST RATE MATURITY DATE VALUE - --------------- ------------- --------------- ------------- -------------- CORPORATE BONDS & NOTES: 21.76% AEROSPACE, DEFENSE: 0.01% $ 140,000 BOEING COMPANY 4.88% 02/15/2020 $ 141,648 30,000 BOEING COMPANY 5.88 02/15/2040 31,377 173,025 -------------- AGRICULTURAL SERVICES: 0.01% 150,000 BUNGE LIMITED FINANCE CORPORATION 5.10 07/15/2015 152,711 -------------- APPAREL & ACCESSORY STORES: 0.01% 65,000 KOHL'S CORPORATION 6.00 01/15/2033 63,167 60,000 NORDSTROM INCORPORATED 6.75 06/01/2014 64,800 127,967 -------------- APPAREL & OTHER FINISHED PRODUCTS MADE FROM FABRICS & SIMILAR MATERIALS: 0.01% 100,000 VF CORPORATION 5.95 11/01/2017 102,918 -------------- AUTOMOTIVE DEALERS & GASOLINE SERVICE STATIONS: 0.04% 150,000 AUTOZONE INCORPORATED 5.75 01/15/2015 157,962 100,000 AUTOZONE INCORPORATED 6.50 01/15/2014 107,473 250,000 JOHNSON CONTROLS INCORPORATED 5.50 01/15/2016 253,824 519,259 -------------- AUTOMOTIVE REPAIR, SERVICES & PARKING: 0.01% 100,000 RYDER SYSTEM INCORPORATED SERIES MTN 5.85 03/01/2014 103,831 -------------- BUILDING CONSTRUCTION-GENERAL CONTRACTORS & OPERATIVE BUILDERS: 0.01% 65,000 MDC HOLDINGS INCORPORATED 5.38 07/01/2015 61,535 65,000 TOLL BROTHERS FINANCE CORPORATION 5.15 05/15/2015 59,377 120,912 -------------- BUILDING MATERIALS, HARDWARE, GARDEN SUPPLY & MOBILE HOME DEALERS: 0.20% 150,000 BROWN-FORMAN CORPORATION 5.20 04/01/2012 161,291 180,000 CRH AMERICA INCORPORATED 5.30 10/15/2013 180,781 100,000 CRH AMERICA INCORPORATED 5.63 09/30/2011 101,481 50,000 CRH AMERICA INCORPORATED 6.00 09/30/2016 49,080 200,000 CRH AMERICA INCORPORATED 8.13 07/15/2018 215,062 100,000 HOME DEPOT INCORPORATED 5.20 03/01/2011 104,261 50,000 HOME DEPOT INCORPORATED 5.25 12/16/2013 53,063 680,000 HOME DEPOT INCORPORATED 5.40 03/01/2016 703,495 250,000 HOME DEPOT INCORPORATED 5.88 12/16/2036 240,616 400,000 LOWE'S COMPANIES INCORPORATED 5.00 10/15/2015 431,079 75,000 LOWE'S COMPANIES INCORPORATED 6.50 03/15/2029 81,776 350,000 LOWE'S COMPANIES INCORPORATED 6.65 09/15/2037 397,327 2,719,312 -------------- BUSINESS SERVICES: 0.44% 150,000 COMPUTER SCIENCES CORPORATION SERIES WI 6.50 03/15/2018 161,691 180,000 ELECTRONIC DATA SYSTEMS CORPORATION SERIES B 6.00 08/01/2013 200,004 100,000 FISERV INCORPORATED 6.13 11/20/2012 108,612 100,000 FISERV INCORPORATED 6.80 11/20/2017 109,179 1,725,000 GENERAL ELECTRIC CAPITAL CORPORATION SERIES MTNA 6.00 06/15/2012 1,847,699 500,000 INTERNATIONAL LEASE FINANCE CORPORATION 6.38 03/25/2013 392,343 300,000 INTERNATIONAL LEASE FINANCE CORPORATION SERIES MTN 5.30 05/01/2012 240,742 130,000 INTERNATIONAL LEASE FINANCE CORPORATION SERIES MTN 5.65 06/01/2014 97,567 190,000 MICROSOFT CORPORATION 2.95 06/01/2014 191,168 Wells Fargo Advantage Master Portfolios 61 Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED FIXED INCOME PORTFOLIO PRINCIPAL SECURITY NAME INTEREST RATE MATURITY DATE VALUE - --------------- ------------- --------------- ------------- -------------- BUSINESS SERVICES (continued) $ 175,000 MICROSOFT CORPORATION 4.20% 06/01/2019 $ 178,926 110,000 MICROSOFT CORPORATION 5.20 06/01/2039 111,157 200,000 OMNICOM GROUP INCORPORATED 6.25 07/15/2019 212,061 500,000 ORACLE CORPORATION 3.75 07/08/2014 516,558 300,000 ORACLE CORPORATION 5.00 07/08/2019 313,510 250,000 ORACLE CORPORATION 5.75 04/15/2018 274,350 200,000 ORACLE CORPORATION 6.13 07/08/2039 224,582 250,000 ORACLE CORPORATION 6.50 04/15/2038 289,417 326,000 WASTE MANAGEMENT INCORPORATED 6.10 03/15/2018 341,431 5,810,997 -------------- CHEMICALS: 0.14% 100,000 DOW CHEMICAL COMPANY<< 6.00 10/01/2012 104,357 100,000 DOW CHEMICAL COMPANY 7.38 11/01/2029 99,726 685,000 DOW CHEMICAL COMPANY 7.60 05/15/2014 739,670 655,000 DOW CHEMICAL COMPANY 8.55 05/15/2019 713,462 135,000 DOW CHEMICAL COMPANY 9.40 05/15/2039 163,828 1,821,043 -------------- CHEMICALS & ALLIED PRODUCTS: 1.03% 150,000 ABBOTT LABORATORIES 5.60 05/15/2011 160,917 1,000,000 ABBOTT LABORATORIES 5.60 11/30/2017 1,094,425 150,000 ABBOTT LABORATORIES 5.88 05/15/2016 167,098 300,000 ABBOTT LABORATORIES 6.00 04/01/2039 337,994 150,000 AIR PRODUCTS & CHEMICALS INCORPORATED 4.38 08/21/2019 152,118 100,000 AMGEN INCORPORATED 6.38 06/01/2037 112,988 250,000 AMGEN INCORPORATED<< 6.40 02/01/2039 284,198 750,000 BRISTOL-MYERS SQUIBB COMPANY 5.88 11/15/2036 822,031 150,000 CLOROX COMPANY 5.00 03/01/2013 158,607 300,000 CLOROX COMPANY 5.00 01/15/2015 307,212 100,000 CLOROX COMPANY 5.45 10/15/2012 107,128 90,000 CLOROX COMPANY<< 5.95 10/15/2017 97,514 40,000 COLGATE-PALMOLIVE COMPANY 3.15 08/05/2015 40,747 100,000 COLGATE-PALMOLIVE COMPANY SERIES MTN 5.20 11/07/2016 106,788 565,000 E.I. DU PONT DE NEMOURS & COMPANY 4.88 04/30/2014 605,885 200,000 E.I. DU PONT DE NEMOURS & COMPANY 5.00 07/15/2013 216,779 50,000 E.I. DU PONT DE NEMOURS & COMPANY 5.25 12/15/2016 53,164 25,000 E.I. DU PONT DE NEMOURS & COMPANY 5.60 12/15/2036 25,707 625,000 E.I. DU PONT DE NEMOURS & COMPANY 6.00 07/15/2018 692,883 200,000 EASTMAN CHEMICAL COMPANY 7.60 02/01/2027 207,243 800,000 ELI LILLY & COMPANY 4.20 03/06/2014 847,295 100,000 ESTEE LAUDER COMPANY INCORPORATED 7.75 11/01/2013 113,253 500,000 GLAXOSMITHKLINE CAPITAL INCORPORATED 4.85 05/15/2013 535,362 45,000 HOSPIRA INCORPORATED SERIES GMTN 6.40 05/15/2015 49,099 250,000 JOHNSON & JOHNSON 5.55 08/15/2017 279,110 300,000 JOHNSON & JOHNSON 5.85 07/15/2038 333,786 65,000 LUBRIZOL CORPORATION 5.50 10/01/2014 68,319 250,000 MERCK & COMPANY INCORPORATED 1.88 06/30/2011 252,506 250,000 MERCK & COMPANY INCORPORATED 5.00 06/30/2019 264,268 150,000 MERCK & COMPANY INCORPORATED 5.85 06/30/2039 165,179 250,000 MERCK & COMPANY INCORPORATED 6.30 01/01/2026 280,871 100,000 MONSANTO COMPANY 5.50 08/15/2025 102,973 50,000 PPG INDUSTRIES INCORPORATED 5.75 03/15/2013 53,115 100,000 PPG INDUSTRIES INCORPORATED 6.65 03/15/2018 109,228 75,000 PRAXAIR INCORPORATED 5.38 11/01/2016 82,598 150,000 PRAXAIR INCORPORATED 6.38 04/01/2012 166,243 62 Wells Fargo Advantage Master Portfolios Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED FIXED INCOME PORTFOLIO PRINCIPAL SECURITY NAME INTEREST RATE MATURITY DATE VALUE - --------------- ------------- --------------- ------------- -------------- CHEMICALS & ALLIED PRODUCTS (continued) $ 750,000 PROCTER & GAMBLE COMPANY 3.50% 02/15/2015 $ 769,922 125,000 PROCTER & GAMBLE COMPANY 4.60 01/15/2014 134,217 500,000 PROCTER & GAMBLE COMPANY 4.85 12/15/2015 552,157 100,000 PROCTER & GAMBLE COMPANY 5.80 08/15/2034 110,116 225,000 SCHERING-PLOUGH CORPORATION 6.55 09/15/2037 267,153 120,000 SCHERING-PLOUGH CORPORATION 6.75 12/01/2033 140,406 200,000 TEVA PHARMACEUTICAL FINANCE LLC 6.15 02/01/2036 215,526 100,000 VALSPAR CORPORATION 7.25 06/15/2019 106,397 125,000 WATSON PHARMACEUTICALS INCORPORATED 5.00 08/15/2014 126,474 130,000 WATSON PHARMACEUTICALS INCORPORATED 6.13 08/15/2019 133,655 500,000 WYETH 5.45 04/01/2017 540,155 180,000 WYETH 5.50 02/15/2016 193,821 625,000 WYETH 6.00 02/15/2036 682,121 300,000 WYETH 6.95 03/15/2011 323,953 13,750,704 -------------- COMMUNICATIONS: 2.18% 65,000 AMERICA MOVIL SA DE CV 6.38 03/01/2035 66,330 325,000 AT&T INCORPORATED 5.10 09/15/2014 351,295 1,000,000 AT&T INCORPORATED 5.50 02/01/2018 1,049,977 500,000 AT&T INCORPORATED<< 5.60 05/15/2018 528,100 300,000 AT&T INCORPORATED 6.25 03/15/2011 319,250 570,000 AT&T INCORPORATED 6.50 09/01/2037 613,787 500,000 AT&T INCORPORATED<< 6.55 02/15/2039 545,571 200,000 AT&T INCORPORATED 6.70 11/15/2013 226,537 550,000 AT&T INCORPORATED 8.00 11/15/2031 682,807 360,000 AT&T WIRELESS 7.88 03/01/2011 390,541 1,000,000 AT&T WIRELESS 8.13 05/01/2012 1,137,623 600,000 AT&T WIRELESS 8.75 03/01/2031 797,466 250,000 BELLSOUTH CAPITAL FUNDING CORPORATION 7.88 02/15/2030 300,318 325,000 BELLSOUTH CORPORATION 5.20 09/15/2014 352,789 180,000 BELLSOUTH CORPORATION 6.00 11/15/2034 185,106 180,000 BELLSOUTH CORPORATION 6.55 06/15/2034 193,055 180,000 BRITISH TELEPHONE PLC 9.13 12/15/2010 193,930 180,000 CBS CORPORATION 4.63 05/15/2018 150,398 200,000 CBS CORPORATION 8.88 05/15/2019 215,105 100,000 CENTURYTEL INCORPORATED 5.00 02/15/2015 98,000 240,000 CENTURYTEL INCORPORATED 6.00 04/01/2017 235,200 365,000 COMCAST CABLE COMMUNICATIONS HOLDINGS INCORPORATED 8.38 03/15/2013 421,810 350,000 COMCAST CABLE HOLDINGS LLC 7.13 02/15/2028 371,352 100,000 COMCAST CORPORATION 4.95 06/15/2016 101,425 300,000 COMCAST CORPORATION 5.30 01/15/2014 319,302 200,000 COMCAST CORPORATION 5.45 11/15/2010 208,135 75,000 COMCAST CORPORATION 5.88 02/15/2018 79,736 225,000 COMCAST CORPORATION 5.90 03/15/2016 240,021 500,000 COMCAST CORPORATION 6.30 11/15/2017 545,667 150,000 COMCAST CORPORATION 6.45 03/15/2037 160,007 200,000 COMCAST CORPORATION 6.50 11/15/2035 213,544 650,000 COMCAST CORPORATION<< 6.55 07/01/2039 703,689 400,000 COMCAST CORPORATION 6.95 08/15/2037 452,722 180,000 COX COMMUNICATIONS INCORPORATED 5.45 12/15/2014 191,140 300,000 COX COMMUNICATIONS INCORPORATED 7.13 10/01/2012 332,591 405,000 DIRECTV HOLDINGS LLC 7.63 05/15/2016 426,263 100,000 EMBARQ CORPORATION 6.74 06/01/2013 106,949 350,000 EMBARQ CORPORATION 7.08 06/01/2016 373,684 Wells Fargo Advantage Master Portfolios 63 Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED FIXED INCOME PORTFOLIO PRINCIPAL SECURITY NAME INTEREST RATE MATURITY DATE VALUE - --------------- ------------- --------------- ------------- -------------- COMMUNICATIONS (continued) $ 120,000 MOTOROLA INCORPORATED 7.63% 11/15/2010 $ 123,900 300,000 QWEST CORPORATION 6.88 09/15/2033 234,000 500,000 QWEST CORPORATION 7.50 06/15/2023 425,000 35,000 QWEST CORPORATION++ 8.38 05/01/2016 35,350 65,000 REED ELSEVIER CAPITAL INCORPORATED 4.63 06/15/2012 67,114 415,000 TELECOM ITALIA CAPITAL SA 5.25 11/15/2013 434,194 350,000 TIME WARNER CABLE INCORPORATED 5.40 07/02/2012 373,343 150,000 TIME WARNER CABLE INCORPORATED 5.85 05/01/2017 157,524 250,000 TIME WARNER CABLE INCORPORATED 6.55 05/01/2037 263,052 1,000,000 TIME WARNER CABLE INCORPORATED 6.75 07/01/2018 1,104,719 500,000 TIME WARNER CABLE INCORPORATED 6.75 06/15/2039 534,673 150,000 TIME WARNER CABLE INCORPORATED 7.50 04/01/2014 172,162 150,000 TIME WARNER CABLE INCORPORATED 8.25 02/14/2014 175,466 150,000 TIME WARNER CABLE INCORPORATED 8.25 04/01/2019 180,124 100,000 TIME WARNER CABLE INCORPORATED 8.75 02/14/2019 123,102 250,000 TIME WARNER COMPANIES INCORPORATED 7.57 02/01/2024 263,153 150,000 TIME WARNER ENTERTAINMENT COMPANY LP 8.38 07/15/2033 180,642 500,000 TIME WARNER INCORPORATED 5.88 11/15/2016 522,421 50,000 TIME WARNER INCORPORATED 6.50 11/15/2036 50,351 360,000 TIME WARNER INCORPORATED 6.88 05/01/2012 393,703 325,000 TIME WARNER INCORPORATED 7.63 04/15/2031 356,904 300,000 TIME WARNER INCORPORATED 7.70 05/01/2032 332,651 300,000 VERIZON (NEW JERSEY) INCORPORATED SERIES A 5.88 01/17/2012 321,548 250,000 VERIZON COMMUNICATIONS INCORPORATED 6.25 04/01/2037 264,162 500,000 VERIZON COMMUNICATIONS INCORPORATED 6.35 04/01/2019 555,234 500,000 VERIZON COMMUNICATIONS INCORPORATED 6.90 04/15/2038 572,158 350,000 VERIZON COMMUNICATIONS INCORPORATED 7.35 04/01/2039 420,362 800,000 VERIZON COMMUNICATIONS INCORPORATED 8.75 11/01/2018 1,010,092 325,000 VERIZON GLOBAL FUNDING CORPORATION 4.90 09/15/2015 344,649 100,000 VERIZON GLOBAL FUNDING CORPORATION 5.85 09/15/2035 100,880 500,000 VERIZON GLOBAL FUNDING CORPORATION 7.25 12/01/2010 532,531 1,000,000 VERIZON GLOBAL FUNDING CORPORATION 7.38 09/01/2012 1,134,355 350,000 VERIZON GLOBAL FUNDING CORPORATION 7.75 12/01/2030 421,335 500,000 VERIZON WIRELESS++ 8.50 11/15/2018 629,804 250,000 VERIZON WIRELESS CAPITAL LLC++ 3.75 05/20/2011 258,143 1,000,000 VERIZON WIRELESS CAPITAL LLC++ 5.55 02/01/2014 1,081,388 200,000 VIACOM INCORPORATED 5.50 05/15/2033 147,213 480,000 VIACOM INCORPORATED 6.25 04/30/2016 514,963 50,000 VIACOM INCORPORATED 6.75 10/05/2037 52,372 180,000 VIACOM INCORPORATED 6.88 04/30/2036 190,036 28,935,995 -------------- COMPUTER HARDWARE: 0.00% 50,000 DELL INCORPORATED 5.88 06/15/2019 52,558 -------------- DEPOSITORY INSTITUTIONS: 3.27% 150,000 ABBEY NATIONAL CAPITAL TRUST I+/- 8.96 12/31/2049 131,813 1,000,000 BANK OF AMERICA CORPORATION 2.10 04/30/2012 1,010,733 250,000 BANK OF AMERICA CORPORATION 4.75 08/01/2015 246,146 700,000 BANK OF AMERICA CORPORATION 5.38 06/15/2014 710,840 250,000 BANK OF AMERICA CORPORATION 5.49 03/15/2019 226,393 100,000 BANK OF AMERICA CORPORATION 5.63 10/14/2016 97,866 1,000,000 BANK OF AMERICA CORPORATION 5.65 05/01/2018 966,943 500,000 BANK OF AMERICA CORPORATION 5.75 12/01/2017 486,370 350,000 BANK OF AMERICA CORPORATION 6.50 08/01/2016 360,672 64 Wells Fargo Advantage Master Portfolios Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED FIXED INCOME PORTFOLIO PRINCIPAL SECURITY NAME INTEREST RATE MATURITY DATE VALUE - --------------- ------------- --------------- ------------- -------------- DEPOSITORY INSTITUTIONS (continued) $ 1,000,000 BANK OF AMERICA CORPORATION 7.38% 05/15/2014 $ 1,096,397 800,000 BANK OF AMERICA CORPORATION SERIES BKNT 6.00 10/15/2036 740,651 1,000,000 BANK OF AMERICA CORPORATION SERIES MTN 3.13 06/15/2012 1,038,615 500,000 BANK OF AMERICA CORPORATION SERIES MTN 4.90 05/01/2013 504,762 115,000 BANK OF NEW YORK MELLON CORPORATION<< 4.30 05/15/2014 120,992 450,000 BANK OF NEW YORK MELLON CORPORATION SERIES MTN 4.95 01/14/2011 466,061 150,000 BANK OF NEW YORK MELLON CORPORATION SERIES MTN 4.95 11/01/2012 162,361 500,000 BANK OF TOKYO-MITSUBISHI UFJ LIMITED (NEW YORK) 7.40 06/15/2011 528,825 240,000 BANK ONE CORPORATION 7.63 10/15/2026 266,030 250,000 BANK ONE CORPORATION 8.00 04/29/2027 287,286 100,000 BB&T CAPITAL TRUST IV+/- 6.82 06/12/2049 83,000 250,000 BB&T CORPORATION<< 5.20 12/23/2015 253,553 700,000 CAPITAL ONE FINANCIAL CORPORATION 7.38 05/23/2014 763,592 2,000,000 CITIGROUP INCORPORATED 2.13 04/30/2012 2,022,760 900,000 CITIGROUP INCORPORATED 5.00 09/15/2014 824,590 1,000,000 CITIGROUP INCORPORATED 5.30 10/17/2012 1,010,199 700,000 CITIGROUP INCORPORATED 5.50 04/11/2013 696,744 1,000,000 CITIGROUP INCORPORATED<< 5.50 02/15/2017 884,047 750,000 CITIGROUP INCORPORATED 5.63 08/27/2012 743,577 1,000,000 CITIGROUP INCORPORATED 6.13 05/15/2018 940,246 625,000 CITIGROUP INCORPORATED 6.50 01/18/2011 645,913 250,000 CITIGROUP INCORPORATED 6.50 08/19/2013 256,710 500,000 CITIGROUP INCORPORATED 6.88 03/05/2038 451,585 855,000 CITIGROUP INCORPORATED 8.13 07/15/2039 878,852 400,000 CITIGROUP INCORPORATED 8.50 05/22/2019 437,231 500,000 COMERCIA BANK SERIES BKNT 5.75 11/21/2016 448,027 100,000 COMERICA CAPITAL TRUST II+/- 6.58 02/20/2037 67,500 100,000 DEUTSCHE BANK FINANCIAL LLC 5.38 03/02/2015 100,731 500,000 FIFTH THIRD BANCORP 5.45 01/15/2017 419,731 1,000,000 GMAC LLC 2.20 12/19/2012 1,007,735 200,000 HSBC BANK USA NA NEW YORK 4.63 04/01/2014 204,616 225,000 HSBC BANK USA NA NEW YORK SERIES BKNT 5.63 08/15/2035 217,707 1,000,000 JPMORGAN CHASE & COMPANY 2.20 06/15/2012 1,014,942 350,000 JPMORGAN CHASE & COMPANY 3.13 12/01/2011 363,406 150,000 JPMORGAN CHASE & COMPANY 4.65 06/01/2014 156,620 250,000 JPMORGAN CHASE & COMPANY 5.25 05/01/2015 254,477 2,000,000 JPMORGAN CHASE & COMPANY 5.38 10/01/2012 2,147,404 600,000 JPMORGAN CHASE & COMPANY 5.60 06/01/2011 633,277 1,000,000 JPMORGAN CHASE & COMPANY 6.00 01/15/2018 1,074,693 1,500,000 JPMORGAN CHASE & COMPANY 6.30 04/23/2019 1,644,417 350,000 JPMORGAN CHASE & COMPANY 6.40 05/15/2038 386,500 800,000 JPMORGAN CHASE & COMPANY 6.63 03/15/2012 852,798 350,000 KEYBANK NA 5.80 07/01/2014 337,267 250,000 M&I MARSHALL & ILSLEY BANK SERIES BKNT 5.00 01/17/2017 186,950 200,000 MELLON FUNDING CORPORATION 5.00 12/01/2014 212,301 100,000 MELLON FUNDING CORPORATION 5.20 05/15/2014 108,272 360,000 NATIONAL CITY CORPORATION 4.90 01/15/2015 360,425 500,000 NATIONAL CITY CORPORATION 6.88 05/15/2019 518,394 40,000 NORTHERN TRUST CORPORATION 4.63 05/01/2014 42,472 450,000 PNC FUNDING CORPORATION 5.13 12/14/2010 457,119 250,000 REGIONS BANK 6.45 06/26/2037 178,032 225,000 SUNTRUST BANK 5.00 09/01/2015 209,508 165,000 SUNTRUST CAPITAL VIII+/- 6.10 12/15/2049 108,900 200,000 UBS AG STAMFORD CT 5.88 07/15/2016 186,425 360,000 UBS PREFERRED FUNDING TRUST I+/- 8.62 12/31/2049 313,885 Wells Fargo Advantage Master Portfolios 65 Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED FIXED INCOME PORTFOLIO PRINCIPAL SECURITY NAME INTEREST RATE MATURITY DATE VALUE - --------------- ------------- --------------- ------------- -------------- DEPOSITORY INSTITUTIONS (continued) $ 200,000 UNION BANK OF CALIFORNIA SERIES BKNT 5.95% 05/11/2016 $ 195,077 250,000 US BANCORP 4.20 05/15/2014 260,383 275,000 US BANK NA SERIES BKNT 4.95 10/30/2014 292,614 50,000 USB CAPITAL IX+/- 6.19 12/31/2049 36,000 250,000 WACHOVIA BANK NA(L) 5.85 02/01/2037 234,509 150,000 WACHOVIA CAPITAL TRUST I+/-(L) 5.80 03/15/2042 96,750 300,000 WACHOVIA CORPORATION(L) 5.25 08/01/2014 305,490 700,000 WACHOVIA CORPORATION(L) 5.50 08/01/2035 614,506 500,000 WACHOVIA CORPORATION(L) 5.63 10/15/2016 498,667 1,000,000 WACHOVIA CORPORATION<<(L) 5.75 02/01/2018 1,050,159 700,000 WACHOVIA CORPORATION SERIES MTN(L) 5.50 05/01/2013 743,744 1,000,000 WELLS FARGO & COMPANY(L) 5.25 10/23/2012 1,062,461 1,500,000 WELLS FARGO & COMPANY<<(L) 5.30 08/26/2011 1,589,027 1,000,000 WELLS FARGO & COMPANY(L) 5.63 12/11/2017 1,047,772 500,000 WELLS FARGO BANK NA(L) 4.75 02/09/2015 497,486 150,000 WELLS FARGO BANK NA(L) 5.95 08/26/2036 149,404 75,000 WESTERN UNION COMPANY 5.40 11/17/2011 80,424 75,000 WESTERN UNION COMPANY 5.93 10/01/2016 80,934 75,000 WESTERN UNION COMPANY 6.20 11/17/2036 74,021 43,466,314 -------------- EATING & DRINKING PLACES: 0.16% 750,000 BOTTLING GROUP LLC 6.95 03/15/2014 878,501 250,000 DARDEN RESTAURANTS INCORPORATED 5.63 10/15/2012 261,151 105,000 DARDEN RESTAURANTS INCORPORATED 6.20 10/15/2017 107,680 20,000 DARDEN RESTAURANTS INCORPORATED 6.80 10/15/2037 19,800 100,000 MCDONALD'S CORPORATION 5.80 10/15/2017 111,340 150,000 MCDONALD'S CORPORATION 6.30 10/15/2037 173,981 100,000 MCDONALD'S CORPORATION SERIES MTN 4.30 03/01/2013 106,058 100,000 MCDONALD'S CORPORATION SERIES MTN 5.35 03/01/2018 107,406 100,000 MCDONALD'S CORPORATION SERIES MTN 6.30 03/01/2038 114,942 50,000 YUM! BRANDS INCORPORATED 6.25 03/15/2018 54,117 50,000 YUM! BRANDS INCORPORATED 6.88 11/15/2037 54,253 120,000 YUM! BRANDS INCORPORATED 8.88 04/15/2011 131,775 2,121,004 -------------- EDUCATIONAL SERVICES: 0.05% 75,000 DARTMOUTH COLLEGE 4.75 06/01/2019 77,720 250,000 JOHNS HOPKINS UNIVERSITY 5.25 07/01/2019 266,998 250,000 VANDERBILT UNIVERSITY 5.25 04/01/2019 264,053 608,771 -------------- ELECTRIC, GAS & SANITARY SERVICES: 2.58% 105,000 ALABAMA POWER COMPANY 6.13 05/15/2038 117,961 1,000,000 ALLIED WASTE NORTH AMERICA INCORPORATED 6.88 06/01/2017 1,042,500 100,000 AMEREN ENERGY GENERATING COMPANY SERIES H 7.00 04/15/2018 95,935 75,000 AMEREN UNION ELECTRIC 5.40 02/01/2016 77,034 100,000 AMEREN UNION ELECTRIC 6.00 04/01/2018 105,822 750,000 AMERICAN WATER CAPITAL CORPORATION 6.09 10/15/2017 778,361 100,000 APPALACHIAN POWER COMPANY 7.00 04/01/2038 113,075 315,000 APPALACHIAN POWER COMPANY SERIES L 5.80 10/01/2035 305,358 500,000 ARIZONA PUBLIC SERVICE COMPANY 6.38 10/15/2011 530,319 65,000 ATLANTIC CITY ELECTRIC COMPANY 7.75 11/15/2018 78,575 100,000 ATMOS ENERGY CORPORATION 4.95 10/15/2014 103,930 50,000 ATMOS ENERGY CORPORATION 6.35 06/15/2017 53,800 66 Wells Fargo Advantage Master Portfolios Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED FIXED INCOME PORTFOLIO PRINCIPAL SECURITY NAME INTEREST RATE MATURITY DATE VALUE - --------------- ------------- --------------- ------------- -------------- ELECTRIC, GAS & SANITARY SERVICES (continued) $ 180,000 CAROLINA POWER & LIGHT COMPANY 5.25% 12/15/2015 $ 195,084 450,000 CENTERPOINT ENERGY HOUSTON SERIES J2 5.70 03/15/2013 476,640 150,000 CENTERPOINT ENERGY RESOURCES CORPORATION 6.13 11/01/2017 154,091 50,000 CENTERPOINT ENERGY RESOURCES CORPORATION 6.63 11/01/2037 49,622 100,000 CENTERPOINT ENERGY RESOURCES CORPORATION SERIES MTN 6.00 05/15/2018 100,994 500,000 COMMONWEALTH EDISON COMPANY 5.80 03/15/2018 538,252 250,000 COMMONWEALTH EDISON COMPANY 5.90 03/15/2036 262,643 65,000 COMMONWEALTH EDISON COMPANY SERIES 100 5.88 02/01/2033 67,886 50,000 COMMONWEALTH EDISON COMPANY SERIES 105 5.40 12/15/2011 53,392 100,000 CONNECTICUT LIGHT & POWER COMPANY 5.65 05/01/2018 108,159 180,000 CONSOLIDATED EDISON COMPANY OF NEW YORK INCORPORATED 4.88 02/01/2013 189,130 100,000 CONSOLIDATED EDISON COMPANY OF NEW YORK INCORPORATED 5.85 04/01/2018 108,397 500,000 CONSOLIDATED EDISON COMPANY OF NEW YORK INCORPORATED 6.65 04/01/2019 572,360 100,000 CONSOLIDATED EDISON COMPANY OF NEW YORK INCORPORATED 6.75 04/01/2038 117,350 200,000 CONSOLIDATED EDISON COMPANY OF NEW YORK INCORPORATED 7.13 12/01/2018 235,170 100,000 CONSOLIDATED EDISON COMPANY OF NEW YORK SERIES 06-C 5.50 09/15/2016 106,896 50,000 CONSOLIDATED EDISON COMPANY OF NEW YORK SERIES D 5.30 12/01/2016 52,759 50,000 CONSOLIDATED EDISON COMPANY OF NEW YORK SERIES E 5.70 12/01/2036 51,156 100,000 CONSOLIDATED NATURAL GAS COMPANY SERIES A 5.00 12/01/2014 105,700 200,000 CONSTELLATION ENERGY GROUP INCORPORATED 7.00 04/01/2012 214,671 150,000 CONSUMERS ENERGY COMPANY 5.65 09/15/2018 159,809 150,000 CONSUMERS ENERGY COMPANY SERIES B 5.38 04/15/2013 160,049 100,000 DOMINION RESOURCES INCORPORATED 4.75 12/15/2010 103,103 80,000 DOMINION RESOURCES INCORPORATED 5.20 08/15/2019 82,500 180,000 DOMINION RESOURCES INCORPORATED 5.70 09/17/2012 195,783 750,000 DOMINION RESOURCES INCORPORATED 6.40 06/15/2018 829,394 50,000 DOMINION RESOURCES INCORPORATED SERIES A 5.60 11/15/2016 52,559 125,000 DOMINION RESOURCES INCORPORATED SERIES B 5.95 06/15/2035 128,600 350,000 DTE ENERGY COMPANY 6.35 06/01/2016 358,600 150,000 DTE ENERGY COMPANY 7.05 06/01/2011 159,370 50,000 DTE ENERGY COMPANY 7.63 05/15/2014 54,149 125,000 DUKE CAPITAL LLC 5.67 08/15/2014 130,371 100,000 DUKE CAPITAL LLC 8.00 10/01/2019 115,364 150,000 DUKE ENERGY CAROLINAS LLC 5.75 11/15/2013 163,741 100,000 DUKE ENERGY CAROLINAS LLC 7.00 11/15/2018 118,647 200,000 DUKE ENERGY CORPORATION 6.30 02/01/2014 220,635 75,000 DUKE ENERGY CORPORATION 6.45 10/15/2032 84,423 750,000 DUKE ENERGY INDIANA INCORPORATED 6.35 08/15/2038 874,055 65,000 DUKE ENERGY INDIANA INCORPORATED 6.45 04/01/2039 76,273 250,000 DUKE ENERGY OHIO INCORPORATED 5.45 04/01/2019 269,294 100,000 EMERSON ELECTRIC COMPANY 4.75 10/15/2015 106,881 250,000 ENERGY TRANSFER PARTNERS LP 6.00 07/01/2013 263,367 55,000 ENERGY TRANSFER PARTNERS LP 6.13 02/15/2017 57,135 30,000 ENERGY TRANSFER PARTNERS LP 6.63 10/15/2036 31,458 100,000 ENERGY TRANSFER PARTNERS LP 6.70 07/01/2018 106,139 100,000 ENERGY TRANSFER PARTNERS LP 7.50 07/01/2038 116,146 100,000 ENTERGY ARKANSAS INCORPORATED 5.40 08/01/2013 103,336 100,000 ENTERGY GULF STATES LOUISIANA LLC 6.00 05/01/2018 103,351 375,000 EXELON CORPORATION 4.90 06/15/2015 380,821 65,000 EXELON CORPORATION 5.63 06/15/2035 59,559 150,000 EXELON GENERATION COMPANY LLC 6.95 06/15/2011 160,937 150,000 FIRSTENERGY CORPORATION SERIES B 6.45 11/15/2011 160,499 430,000 FIRSTENERGY CORPORATION SERIES C 7.38 11/15/2031 474,697 200,000 FIRSTENERGY SOLUTIONS CORPORATION++ 4.80 02/15/2015 204,418 240,000 FIRSTENERGY SOLUTIONS CORPORATION<<++ 6.05 08/15/2021 242,616 Wells Fargo Advantage Master Portfolios 67 Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED FIXED INCOME PORTFOLIO PRINCIPAL SECURITY NAME INTEREST RATE MATURITY DATE VALUE - --------------- ------------- --------------- ------------- -------------- ELECTRIC, GAS & SANITARY SERVICES (continued) $ 164,000 FIRSTENERGY SOLUTIONS CORPORATION++ 6.80% 08/15/2039 $ 167,514 100,000 FLORIDA POWER & LIGHT COMPANY 4.80 03/01/2013 105,623 150,000 FLORIDA POWER & LIGHT COMPANY 5.63 04/01/2034 160,212 100,000 FLORIDA POWER & LIGHT COMPANY 5.85 05/01/2037 110,507 50,000 FLORIDA POWER & LIGHT COMPANY 5.95 02/01/2038 56,062 500,000 FLORIDA POWER CORPORATION 6.40 06/15/2038 586,161 800,000 FPL GROUP CAPITAL INCORPORATED 5.63 09/01/2011 859,193 750,000 FPL GROUP CAPITAL INCORPORATED 6.00 03/01/2019 826,944 1,500,000 GENERAL ELECTRIC CAPITAL CORPORATION 2.20 06/08/2012 1,520,678 200,000 GEORGIA POWER COMPANY 5.40 06/01/2018 213,610 125,000 GEORGIA POWER COMPANY 6.00 11/01/2013 139,354 100,000 GEORGIA POWER COMPANY SERIES B 5.70 06/01/2017 108,439 250,000 GREAT PLAIN ENERGY INCORPORATED 6.38 03/01/2018 272,633 100,000 ILLINOIS POWER COMPANY 6.13 11/15/2017 105,074 50,000 ILLINOIS POWER COMPANY 6.25 04/01/2018 52,706 500,000 INDIANA MICHIGAN POWER COMPANY 7.00 03/15/2019 568,944 30,000 INTERSTATE POWER & LIGHT COMPANY 6.25 07/15/2039 32,425 100,000 JERSEY CENTRAL POWER & LIGHT COMPANY 5.63 05/01/2016 105,518 125,000 KEYSPAN CORPORATION 5.80 04/01/2035 114,431 100,000 MAGELLAN MIDSTREAM PARTNERS LP 6.40 07/15/2018 108,430 200,000 MIDAMERICAN ENERGY HOLDINGS COMPANY++ 3.15 07/15/2012 202,319 250,000 MIDAMERICAN ENERGY HOLDINGS COMPANY 5.30 03/15/2018 263,115 75,000 MIDAMERICAN ENERGY HOLDINGS COMPANY 5.80 10/15/2036 78,866 180,000 MIDAMERICAN ENERGY HOLDINGS COMPANY 5.88 10/01/2012 195,234 100,000 MIDAMERICAN ENERGY HOLDINGS COMPANY 5.95 05/15/2037 103,395 250,000 MIDAMERICAN ENERGY HOLDINGS COMPANY 6.13 04/01/2036 265,009 300,000 NEVADA POWER COMPANY 7.13 03/15/2019 341,736 1,000,000 NEVADA POWER COMPANY SERIES A 8.25 06/01/2011 1,090,653 180,000 NISOURCE FINANCE CORPORATION 5.25 09/15/2017 167,239 65,000 NISOURCE FINANCE CORPORATION 5.45 09/15/2020 58,921 90,000 NISOURCE FINANCE CORPORATION 6.80 01/15/2019 91,272 500,000 NORTHERN STATES POWER COMPANY MINNESOTA 5.25 03/01/2018 531,636 100,000 NORTHERN STATES POWER COMPANY MINNESOTA 6.20 07/01/2037 114,872 170,000 NORTHWEST PIPELINE CORPORATION 6.05 06/15/2018 180,673 500,000 ONCOR ELECTRIC DELIVERY COMPANY 6.80 09/01/2018 568,399 65,000 ONEOK INCORPORATED 5.20 06/15/2015 67,491 200,000 ONEOK PARTNERS LP 6.15 10/01/2016 208,704 125,000 PACIFIC GAS & ELECTRIC COMPANY 4.80 03/01/2014 132,826 250,000 PACIFIC GAS & ELECTRIC COMPANY 5.80 03/01/2037 264,833 200,000 PACIFIC GAS & ELECTRIC COMPANY 6.05 03/01/2034 218,006 200,000 PACIFIC GAS & ELECTRIC COMPANY 6.25 12/01/2013 222,842 100,000 PACIFIC GAS & ELECTRIC COMPANY 6.35 02/15/2038 113,981 100,000 PACIFICORP 5.65 07/15/2018 109,082 720,000 PACIFICORP 6.25 10/15/2037 821,201 250,000 PORTLAND GENERAL ELECTRIC COMPANY 6.10 04/15/2019 280,912 200,000 POTOMAC ELECTRIC POWER 6.50 11/15/2037 225,845 500,000 PPL ENERGY SUPPLY LLC 6.20 05/15/2016 519,316 50,000 PROGRESS ENERGY INCORPORATED 6.30 04/01/2038 57,855 180,000 PROGRESS ENERGY INCORPORATED 7.10 03/01/2011 191,442 120,000 PROGRESS ENERGY INCORPORATED 7.75 03/01/2031 147,114 150,000 PSEG POWER LLC 7.75 04/15/2011 161,699 75,000 PSEG POWER LLC 8.63 04/15/2031 99,955 50,000 PUBLIC SERVICE COMPANY OF COLORADO 5.13 06/01/2019 52,840 150,000 PUBLIC SERVICE COMPANY OF COLORADO 7.88 10/01/2012 174,580 100,000 PUBLIC SERVICE ELECTRIC & GAS COMPANY SERIES MTN 5.80 05/01/2037 108,990 68 Wells Fargo Advantage Master Portfolios Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED FIXED INCOME PORTFOLIO PRINCIPAL SECURITY NAME INTEREST RATE MATURITY DATE VALUE - --------------- ------------- --------------- ------------- -------------- ELECTRIC, GAS & SANITARY SERVICES (continued) $ 100,000 PUGET SOUND ENERGY INCORPORATED 6.27% 03/15/2037 $ 102,520 30,000 SAN DIEGO GAS & ELECTRIC COMPANY 6.00 06/01/2039 33,689 90,000 SEMPRA ENERGY 6.50 06/01/2016 98,985 525,000 SOUTH CAROLINA ELECTRIC & GAS COMPANY 6.50 11/01/2018 607,308 750,000 SOUTHERN CALIFORNIA EDISON COMPANY 5.75 03/15/2014 827,104 350,000 SOUTHERN CALIFORNIA EDISON COMPANY 6.05 03/15/2039 398,464 100,000 SOUTHERN CALIFORNIA EDISON COMPANY SERIES 05-A 5.00 01/15/2016 106,138 180,000 SOUTHERN CALIFORNIA EDISON COMPANY SERIES 05-E 5.35 07/15/2035 184,218 75,000 SOUTHERN CALIFORNIA GAS COMPANY 5.75 11/15/2035 81,608 125,000 SOUTHERN COMPANY 4.15 05/15/2014 128,542 100,000 SOUTHERN COMPANY SERIES A 5.30 01/15/2012 107,046 250,000 SOUTHERN POWER COMPANY SERIES D 4.88 07/15/2015 253,615 100,000 SOUTHWESTERN ELECTRIC POWER COMPANY SERIES E 5.55 01/15/2017 101,800 100,000 SOUTHWESTERN PUBLIC SERVICE 6.00 10/01/2036 104,335 100,000 SPECTRA ENERGY CAPITAL LLC 5.90 09/15/2013 105,016 100,000 SPECTRA ENERGY CAPITAL LLC 7.50 09/15/2038 113,976 100,000 TAMPA ELECTRIC COMAPNY 6.10 05/15/2018 107,668 75,000 TAMPA ELECTRIC COMPANY 6.15 05/15/2037 78,760 200,000 TENNESSEE VALLEY AUTHORITY 4.50 04/01/2018 204,553 150,000 TENNESSEE VALLEY AUTHORITY 5.50 07/18/2017 164,480 50,000 TOLEDA EDISON COMPANY 6.15 05/15/2037 50,771 105,000 TRANSCONTINENTAL GAS PIPE LINE CORPORATION 6.05 06/15/2018 111,974 75,000 TXU ELECTRIC DELIVERY COMPANY 6.38 05/01/2012 81,673 75,000 TXU ELECTRIC DELIVERY COMPANY 7.00 05/01/2032 88,551 75,000 TXU ELECTRIC DELIVERY COMPANY 7.25 01/15/2033 91,190 80,000 UNION ELECTRIC COMPANY 8.45 03/15/2039 105,131 100,000 VIRGINIA ELECTRIC & POWER COMPANY SERIES A 4.75 03/01/2013 104,614 105,000 VIRGINIA ELECTRIC & POWER COMPANY SERIES A 6.00 05/15/2037 114,566 200,000 VIRGINIA ELECTRIC AND POWER COMPANY 5.00 06/30/2019 206,238 65,000 WASTE MANAGEMENT INCORPORATED 5.00 03/15/2014 64,895 150,000 WASTE MANAGEMENT INCORPORATED 7.75 05/15/2032 173,451 100,000 WISCONSIN ELECTRIC POWER COMPANY 5.63 05/15/2033 104,570 50,000 WISCONSIN ELECTRIC POWER COMPANY 5.70 12/01/2036 52,981 125,000 WISCONSIN ENERGY CORPORATION+/- 6.25 05/15/2049 98,750 50,000 WISCONSIN POWER & LIGHT COMPANY 5.00 07/15/2019 51,766 100,000 WISCONSIN POWER & LIGHT COMPANY 6.38 08/15/2037 112,662 100,000 XCEL ENERGY INCORPORATED 7.00 12/01/2010 104,243 34,346,263 -------------- ELECTRONIC & OTHER ELECTRICAL EQUIPMENT & COMPONENTS, EXCEPT COMPUTER EQUIPMENT: 0.12% 250,000 ANALOG DEVICES INCORPORATED 5.00 07/01/2014 259,307 100,000 EMERSON ELECTRIC COMPANY<< 4.13 04/15/2015 104,046 50,000 EMERSON ELECTRIC COMPANY 5.25 10/15/2018 53,980 100,000 EMERSON ELECTRIC COMPANY 6.13 04/15/2039 112,578 750,000 GENERAL ELECTRIC COMPANY 5.25 12/06/2017 765,735 120,000 MOTOROLA INCORPORATED 7.50 05/15/2025 103,354 100,000 NISOURCE FINANCE CORPORATION 6.40 03/15/2018 98,762 115,000 WHIRLPOOL CORPORATION 8.00 05/01/2012 122,377 35,000 WHIRLPOOL CORPORATION 8.60 05/01/2014 38,440 1,658,579 -------------- ENGINEERING, ACCOUNTING, RESEARCH MANAGEMENT & RELATED SERVICES: 0.00% 50,000 ROCKWELL COLLINS INCORPORATED 5.25 07/15/2019 52,959 -------------- Wells Fargo Advantage Master Portfolios 69 Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED FIXED INCOME PORTFOLIO PRINCIPAL SECURITY NAME INTEREST RATE MATURITY DATE VALUE - --------------- ------------- --------------- ------------- -------------- FABRICATED METAL PRODUCTS, EXCEPT MACHINERY & TRANSPORTATION EQUIPMENT: 0.03% $ 200,000 FORTUNE BRANDS INCORPORATED 5.38% 01/15/2016 $ 192,598 150,000 SNAP-ON INCORPORATED 6.13 09/01/2021 155,472 348,070 -------------- FOOD & KINDRED PRODUCTS: 0.72% 180,000 ANHEUSER-BUSCH COMPANIES INCORPORATED 4.38 01/15/2013 184,406 50,000 ANHEUSER-BUSCH COMPANIES INCORPORATED 5.60 03/01/2017 51,778 250,000 ANHEUSER-BUSCH COMPANIES INCORPORATED 5.75 04/01/2036 240,132 350,000 ARCHER-DANIELS-MIDLAND COMPANY 5.38 09/15/2035 342,553 100,000 ARCHER-DANIELS-MIDLAND COMPANY 5.45 03/15/2018 107,401 100,000 BOTTLING GROUP LLC 4.63 11/15/2012 107,798 35,000 CAMPBELL SOUP COMPANY 4.50 02/15/2019 35,484 150,000 COCA-COLA COMPANY 4.88 03/15/2019 157,283 750,000 COCA-COLA COMPANY 5.35 11/15/2017 814,682 100,000 COCA-COLA ENTERPRISES INCORPORATED 5.00 08/15/2013 106,914 180,000 COCA-COLA ENTERPRISES INCORPORATED 6.75 09/15/2028 212,004 200,000 COCA-COLA ENTERPRISES INCORPORATED 8.00 09/15/2022 259,198 120,000 COCA-COLA ENTERPRISES INCORPORATED 8.50 02/01/2022 159,011 150,000 CONAGRA FOODS INCORPORATED 6.75 09/15/2011 163,101 120,000 CONAGRA FOODS INCORPORATED 8.25 09/15/2030 149,016 150,000 DR PEPPER SNAPPLE GROUP INCORPORATED 6.82 05/01/2018 167,313 100,000 DR PEPPER SNAPPLE GROUP INCORPORATED 7.45 05/01/2038 120,029 200,000 GENERAL MILLS INCORPORATED 5.25 08/15/2013 217,379 100,000 GENERAL MILLS INCORPORATED 5.70 02/15/2017 108,889 225,000 GENERAL MILLS INCORPORATED<< 6.00 02/15/2012 244,311 150,000 GRAND METROPOLITAN INVESTMENT CORPORATION PUTTABLEss 7.45 04/15/2035 185,501 100,000 HJ HEINZ COMPANY 5.35 07/15/2013 106,261 975,000 HJ HEINZ COMPANY 6.63 07/15/2011 1,053,978 350,000 KELLOGG COMPANY SERIES B 6.60 04/01/2011 375,920 500,000 KELLOGG COMPANY SERIES B 7.45 04/01/2031 646,400 350,000 KRAFT FOODS INCORPORATED 5.25 10/01/2013 373,215 275,000 KRAFT FOODS INCORPORATED 5.63 11/01/2011 296,577 750,000 KRAFT FOODS INCORPORATED 6.13 08/23/2018 824,614 250,000 KRAFT FOODS INCORPORATED 6.50 08/11/2017 279,644 75,000 KRAFT FOODS INCORPORATED 6.50 11/01/2031 80,323 100,000 KRAFT FOODS INCORPORATED 6.88 01/26/2039 114,607 60,000 KRAFT FOODS INCORPORATED 7.00 08/11/2037 69,436 100,000 PEPSI BOTTLING GROUP INCORPORATED SERIES B 7.00 03/01/2029 121,057 750,000 PEPSICO INCORPORATED 5.00 06/01/2018 788,856 100,000 RALCORP HOLDINGS INCORPORATED++ 6.63 08/15/2039 103,525 250,000 SARA LEE CORPORATION 6.25 09/15/2011 267,601 9,636,197 -------------- FOOD STORES: 0.10% 250,000 DELHAIZE AMERICA INCORPORATED 9.00 04/15/2031 322,696 100,000 KROGER COMPANY 4.95 01/15/2015 104,495 50,000 KROGER COMPANY 6.15 01/15/2020 54,901 350,000 KROGER COMPANY 6.75 04/15/2012 383,900 250,000 KROGER COMPANY 7.50 01/15/2014 287,531 75,000 KROGER COMPANY 7.50 04/01/2031 91,316 75,000 SAFEWAY INCORPORATED 7.25 02/01/2031 89,476 1,334,315 -------------- 70 Wells Fargo Advantage Master Portfolios Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED FIXED INCOME PORTFOLIO PRINCIPAL SECURITY NAME INTEREST RATE MATURITY DATE VALUE - --------------- ------------- --------------- ------------- -------------- FORESTRY: 0.03% $ 180,000 WEYERHAEUSER COMPANY 6.75% 03/15/2012 $ 185,962 225,000 WEYERHAEUSER COMPANY 7.38 03/15/2032 189,286 375,248 -------------- FURNITURE & FIXTURES: 0.03% 50,000 CINTAS CORPORATION #2 6.15 08/15/2036 48,093 200,000 NEWELL RUBBERMAID INCORPORATED 5.50 04/15/2013 201,695 165,000 NEWELL RUBBERMAID INCORPORATED 6.25 04/15/2018 157,155 406,943 -------------- GENERAL MERCHANDISE STORES: 0.39% 100,000 COSTCO WHOLESALE CORPORATION 5.30 03/15/2012 108,608 200,000 COSTCO WHOLESALE CORPORATION 5.50 03/15/2017 217,223 350,000 TARGET CORPORATION 5.38 05/01/2017 369,487 100,000 TARGET CORPORATION 6.50 10/15/2037 108,760 150,000 TARGET CORPORATION 7.00 07/15/2031 168,740 500,000 TARGET CORPORATION 7.00 01/15/2038 576,787 85,000 TJX COMPANIES INCORPORATED 6.95 04/15/2019 99,970 500,000 WAL-MART STORES INCORPORATED 4.13 02/15/2011 519,453 1,180,000 WAL-MART STORES INCORPORATED 4.55 05/01/2013 1,260,297 325,000 WAL-MART STORES INCORPORATED 5.25 09/01/2035 322,720 500,000 WAL-MART STORES INCORPORATED 5.80 02/15/2018 558,579 100,000 WAL-MART STORES INCORPORATED 5.88 04/05/2027 107,353 650,000 WAL-MART STORES INCORPORATED 6.50 08/15/2037 749,406 5,167,383 -------------- HEALTH SERVICES: 0.20% 350,000 AETNA INCORPORATED 5.75 06/15/2011 368,268 350,000 AMGEN INCORPORATED 5.85 06/01/2017 386,533 350,000 ANTHEM INCORPORATED 6.80 08/01/2012 380,821 180,000 CARDINAL HEALTH INCORPORATED 5.85 12/15/2017 189,509 750,000 MEDCO HEALTH SOLUTIONS INCORPORATED 7.25 08/15/2013 835,755 225,000 MERCK & COMPANY INCORPORATED 4.75 03/01/2015 243,043 100,000 QUEST DIAGNOSTICS INCORPORATED 6.95 07/01/2037 112,325 100,000 SCHERING-PLOUGH CORPORATION 5.55 12/01/2013 109,086 2,625,340 -------------- HOLDING & OTHER INVESTMENT OFFICES: 0.35% 3,000 AMERIPRISE FINANCIAL INCORPORATED 5.35 11/15/2010 3,006 350,000 AVALONBAY COMMUNITIES INCORPORATED SERIES MTN 6.13 11/01/2012 370,019 500,000 BERKSHIRE HATHAWAY FINANCE CORPORATION 4.85 01/15/2015 535,372 100,000 BOSTON PROPERTIES LP 6.25 01/15/2013 102,823 65,000 COLONIAL REALTY LP 5.50 10/01/2015 57,462 1,350,000 CREDIT SUISSE USA INCORPORATED 6.50 01/15/2012 1,463,172 50,000 EQUIFAX INCORPORATED 7.00 07/01/2037 48,352 180,000 ERP OPERATING LP 5.25 09/15/2014 179,342 1,000,000 ERP OPERATING LP 5.50 10/01/2012 1,043,582 75,000 FUND AMERICAN COMPANIES INCORPORATED 5.88 05/15/2013 71,416 360,000 GOLDMAN SACHS GROUP INCORPORATED 5.15 01/15/2014 375,156 100,000 MACK-CALI REALTY LP 7.75 02/15/2011 105,133 100,000 NATIONAL RETAIL PROPERTIES INCORPORATED 6.88 10/15/2017 91,211 100,000 SIMON PROPERTY GROUP INCORPORATED 5.30 05/30/2013 101,675 100,000 SIMON PROPERTY GROUP INCORPORATED 6.13 05/30/2018 101,100 4,648,821 -------------- Wells Fargo Advantage Master Portfolios 71 Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED FIXED INCOME PORTFOLIO PRINCIPAL SECURITY NAME INTEREST RATE MATURITY DATE VALUE - --------------- ------------- --------------- ------------- -------------- HOTELS, ROOMING HOUSES, CAMPS & OTHER LODGE PLACES: 0.01% $ 75,000 MARRIOTT INTERNATIONAL 5.81% 11/10/2015 $ 71,406 100,000 MARRIOTT INTERNATIONAL SERIES J 5.63 02/15/2013 100,022 171,428 -------------- INDUSTRIAL & COMMERCIAL MACHINERY & COMPUTER EQUIPMENT: 0.36% 250,000 CATERPILLAR INCORPORATED 6.05 08/15/2036 266,270 75,000 COMPUTER SCIENCES CORPORATION 7.38 06/15/2011 81,272 200,000 DELL INCORPORATED 5.63 04/15/2014 218,052 100,000 DELL INCORPORATED 6.50 04/15/2038 100,510 200,000 DELL INCORPORATED 7.10 04/15/2028 213,727 100,000 DOVER CORPORATION 5.45 03/15/2018 106,668 60,000 DOVER CORPORATION 6.60 03/15/2038 71,407 500,000 HEWLETT-PACKARD COMPANY 5.50 03/01/2018 542,689 180,000 HEWLETT-PACKARD COMPANY 6.50 07/01/2012 201,415 200,000 IBM CORPORATION 4.75 11/29/2012 216,449 500,000 IBM CORPORATION 5.70 09/14/2017 547,104 250,000 IBM CORPORATION 5.88 11/29/2032 268,010 500,000 IBM CORPORATION<< 8.00 10/15/2038 699,133 45,000 ITT CORPORATION 4.90 05/01/2014 46,627 60,000 ITT CORPORATION 6.13 05/01/2019 64,309 100,000 LOCKHEED MARTIN CORPORATION 4.12 03/14/2013 104,495 100,000 ORACLE CORPORATION 5.00 01/15/2011 104,990 350,000 ORACLE CORPORATION 5.25 01/15/2016 376,531 135,000 PARKER HANNIFIN CORPORATION SERIES MTN 5.50 05/15/2018 141,606 60,000 PARKER HANNIFIN CORPORATION SERIES MTN 6.25 05/15/2038 64,808 250,000 PITNEY BOWES INCORPORATED SERIES MTN 4.75 01/15/2016 257,553 100,000 PITNEY BOWES INCORPORATED SERIES MTN 5.75 09/15/2017 106,612 4,800,237 -------------- INSURANCE AGENTS, BROKERS & SERVICE: 0.12% 150,000 AFLAC INCORPORATED 8.50 05/15/2019 174,272 500,000 ALLSTATE LIFE GLOBAL FUNDING TRUSTS SERIES MTN 5.38 04/30/2013 528,367 75,000 AON CORPORATION 8.21 01/01/2027 69,000 100,000 HARTFORD FINANCIAL SERVICES GROUP INCORPORATED 4.63 07/15/2013 92,900 75,000 HARTFORD FINANCIAL SERVICES GROUP INCORPORATED 5.95 10/15/2036 54,969 200,000 MARSH & MCLENNAN COMPANIES INCORPORATED 5.15 09/15/2010 200,306 300,000 MARSH & MCLENNAN COMPANIES INCORPORATED 9.25 04/15/2019 369,178 75,000 WILLIS NORTH AMERICA INCORPORATED 5.63 07/15/2015 67,650 1,556,642 -------------- INSURANCE CARRIERS: 0.92% 75,000 ACE INA HOLDINGS INCORPORATED 5.88 06/15/2014 81,309 40,000 ACE INA HOLDINGS INCORPORATED 5.90 06/15/2019 43,084 75,000 AEGON FUNDING CORPORATION 5.75 12/15/2020 68,310 150,000 AETNA INCORPORATED 6.63 06/15/2036 148,889 330,000 ALLSTATE CORPORATION 5.55 05/09/2035 317,293 150,000 ALLSTATE CORPORATION 6.20 05/16/2014 163,344 150,000 ALLSTATE CORPORATION 7.45 05/16/2019 173,302 500,000 AMERICAN INTERNATIONAL GROUP INCORPORATED 4.25 05/15/2013 373,107 250,000 AMERICAN INTERNATIONAL GROUP INCORPORATED 5.05 10/01/2015 171,848 250,000 AMERICAN INTERNATIONAL GROUP INCORPORATED 6.25 05/01/2036 145,509 250,000 AMERICAN INTERNATIONAL GROUP INCORPORATED 8.25 08/15/2018 200,214 600,000 AMERICAN INTERNATIONAL GROUP INCORPORATED SERIES MTN 5.85 01/16/2018 399,817 75,000 ASSURANT INCORPORATED 6.75 02/15/2034 59,969 275,000 BERKSHIRE HATHAWAY FINANCE CORPORATION 5.00 08/15/2013 297,057 72 Wells Fargo Advantage Master Portfolios Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED FIXED INCOME PORTFOLIO PRINCIPAL SECURITY NAME INTEREST RATE MATURITY DATE VALUE - --------------- ------------- --------------- ------------- -------------- INSURANCE CARRIERS (continued) $ 150,000 CHUBB CORPORATION 5.75% 05/15/2018 $ 162,765 80,000 CHUBB CORPORATION 6.00 05/11/2037 85,290 350,000 CHUBB CORPORATION+/- 6.38 03/29/2049 297,500 100,000 CHUBB CORPORATION SERIES 1 6.50 05/15/2038 113,865 50,000 CIGNA CORPORATION 6.15 11/15/2036 40,394 500,000 CIGNA CORPORATION 8.50 05/01/2019 548,766 75,000 CINCINNATI FINANCIAL CORPORATION 6.92 05/15/2028 65,582 65,000 CNA FINANCIAL CORPORATION 5.85 12/15/2014 58,879 50,000 CNA FINANCIAL CORPORATION 6.00 08/15/2011 49,960 50,000 CNA FINANCIAL CORPORATION 6.50 08/15/2016 45,039 180,000 GE GLOBAL INSURANCE HOLDINGS 7.00 02/15/2026 159,353 100,000 GENWORTH FINANCIAL INCORPORATED 4.95 10/01/2015 72,855 350,000 GENWORTH GLOBAL FUNDING TRUSTS SERIES MTN 5.75 05/15/2013 332,830 250,000 JEFFERSON-PILOT CORPORATION 4.75 01/30/2014 243,538 120,000 LINCOLN NATIONAL CORPORATION 8.75 07/01/2019 134,190 100,000 LOEWS CORPORATION 5.25 03/15/2016 100,560 250,000 METLIFE INCORPORATED 5.00 11/24/2013 257,837 100,000 METLIFE INCORPORATED 6.13 12/01/2011 106,874 280,000 METLIFE INCORPORATED 6.38 06/15/2034 302,016 500,000 METLIFE INCORPORATED 6.75 06/01/2016 546,947 500,000 METLIFE INCORPORATED SERIES A 6.82 08/15/2018 552,392 75,000 NATIONWIDE FINANCIAL SERVICES 5.90 07/01/2012 76,608 500,000 PRINCIPAL LIFE INCOME FUNDING TRUSTS 5.30 04/24/2013 509,881 75,000 PROGRESSIVE CORPORATION 6.25 12/01/2032 77,612 400,000 PROGRESSIVE CORPORATION+/- 6.70 06/15/2037 321,502 30,000 PRUDENTIAL FINANCIAL INCORPORATED 6.20 01/15/2015 31,427 55,000 PRUDENTIAL FINANCIAL INCORPORATED 7.38 06/15/2019 59,774 105,000 PRUDENTIAL FINANCIAL INCORPORATED SERIES MTN 5.10 12/14/2011 107,326 65,000 PRUDENTIAL FINANCIAL INCORPORATED SERIES MTN 6.63 12/01/2037 63,333 500,000 PRUDENTIAL FINANCIAL INCORPORATED SERIES MTNB 5.75 07/15/2033 435,902 180,000 PRUDENTIAL FINANCIAL INCORPORATED SERIES MTNC 5.40 06/13/2035 148,591 180,000 ST. PAUL TRAVELERS COMPANIES INCORPORATED 5.50 12/01/2015 193,232 250,000 THE TRAVELERS COMPANIES INCORPORATED+/- 6.25 03/15/2037 213,188 100,000 THE TRAVELERS COMPANIES INCORPORATED SERIES MTN 5.38 06/15/2012 105,537 150,000 THE TRAVELERS COMPANIES INCORPORATED SERIES MTN 5.75 12/15/2017 162,803 365,000 THE TRAVELERS COMPANIES INCORPORATED SERIES MTN 6.25 06/15/2037 403,332 75,000 TRANSATLANTIC HOLDINGS INCORPORATED 5.75 12/14/2015 67,042 125,000 UNITEDHEALTH GROUP INCORPORATED 4.88 03/15/2015 127,385 250,000 UNITEDHEALTH GROUP INCORPORATED 5.25 03/15/2011 258,691 250,000 UNITEDHEALTH GROUP INCORPORATED 5.80 03/15/2036 224,241 100,000 UNITEDHEALTH GROUP INCORPORATED 6.00 11/15/2017 101,802 500,000 UNITEDHEALTH GROUP INCORPORATED 6.00 02/15/2018 508,255 150,000 UNITEDHEALTH GROUP INCORPORATED 6.63 11/15/2037 151,807 100,000 UNITRIN INCORPORATED 6.00 05/15/2017 80,487 100,000 WELLPOINT INCORPORATED 5.00 01/15/2011 103,358 100,000 WELLPOINT INCORPORATED 5.25 01/15/2016 101,270 75,000 WELLPOINT INCORPORATED 5.85 01/15/2036 71,793 500,000 WELLPOINT INCORPORATED 5.88 06/15/2017 518,591 100,000 WR BERKLEY CORPORATION 6.25 02/15/2037 78,758 12,224,012 -------------- INVESTMENT COMPANIES: 0.13% 1,000,000 GENERAL ELECTRIC CAPITAL CORPORATION 6.88 01/10/2039 991,777 750,000 UNILEVER CAPITAL CORPORATION 3.65 02/15/2014 772,367 1,764,144 -------------- Wells Fargo Advantage Master Portfolios 73 Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED FIXED INCOME PORTFOLIO PRINCIPAL SECURITY NAME INTEREST RATE MATURITY DATE VALUE - --------------- ------------- --------------- ------------- -------------- MEASURING, ANALYZING & CONTROLLING INSTRUMENTS: PHOTOGRAPHIC, MEDICAL & OPTICAL GOODS: 0.17% $ 60,000 AGILENT TECHNOLOGIES INCORPORATED 6.50% 11/01/2017 $ 57,791 500,000 BAXTER INTERNATIONAL INCORPORATED 5.38 06/01/2018 538,797 50,000 BAXTER INTERNATIONAL INCORPORATED 5.90 09/01/2016 55,839 350,000 FISHER SCIENTIFIC INTERNATIONAL INCORPORATED 6.13 07/01/2015 360,500 125,000 MEDTRONIC INCORPORATED SERIES B 4.38 09/15/2010 128,783 725,000 NOVARTIS CAPITAL CORPORATION 4.13 02/10/2014 760,476 225,000 RAYTHEON COMPANY 4.85 01/15/2011 234,208 100,000 ROPER INDUSTRIES INCORPORATED 6.63 08/15/2013 106,993 2,243,387 -------------- METAL MINING: 0.09% 1,000,000 FREEPORT-MCMORAN COPPER & GOLD INCORPORATED 8.38 04/01/2017 1,042,500 150,000 SOUTHERN COPPER CORPORATION 7.50 07/27/2035 149,237 1,191,737 -------------- MINING & QUARRYING OF NONMETALLIC MINERALS, EXCEPT FUELS: 0.01% 100,000 VULCAN MATERIALS COMPANY 5.60 11/30/2012 104,072 50,000 VULCAN MATERIALS COMPANY 7.15 11/30/2037 45,921 149,993 -------------- MISCELLANEOUS MANUFACTURING INDUSTRIES: 0.05% 75,000 3M COMPANY SERIES MTN 5.70 03/15/2037 81,789 360,000 GENERAL ELECTRIC COMPANY 5.00 02/01/2013 380,712 40,000 REPUBLIC SERVICES INCORPORATED 5.50 09/15/2019 39,714 200,000 TYCO INTERNATIONAL GROUP SA 6.38 10/15/2011 213,820 716,035 -------------- MISCELLANEOUS RETAIL: 0.19% 400,000 CVS CAREMARK CORPORATION 5.75 06/01/2017 430,659 250,000 CVS CAREMARK CORPORATION 6.13 08/15/2016 275,957 65,000 CVS CAREMARK CORPORATION 6.25 06/01/2027 70,241 500,000 CVS CAREMARK CORPORATION 6.60 03/15/2019 566,149 500,000 STAPLES INCORPORATED 9.75 01/15/2014 586,944 250,000 WALGREEN COMPANY 4.88 08/01/2013 269,485 250,000 WALGREEN COMPANY 5.25 01/15/2019 268,140 2,467,575 -------------- MOTION PICTURES: 0.11% 180,000 NEWS AMERICA INCORPORATED 5.30 12/15/2014 192,958 450,000 NEWS AMERICA INCORPORATED 6.40 12/15/2035 446,550 150,000 VIACOM INCORPORATED 4.38 09/15/2014 150,233 150,000 VIACOM INCORPORATED 5.63 09/15/2019 151,416 180,000 WALT DISNEY COMPANY 6.38 03/01/2012 198,190 75,000 WALT DISNEY COMPANY 7.00 03/01/2032 90,242 250,000 WALT DISNEY COMPANY SERIES MTN 5.63 09/15/2016 275,398 1,504,987 -------------- MOTOR FREIGHT TRANSPORTATION & WAREHOUSING: 0.08% 100,000 UNITED PARCEL SERVICE INCORPORATED 4.50 01/15/2013 107,328 100,000 UNITED PARCEL SERVICE INCORPORATED 5.50 01/15/2018 109,455 795,000 UNITED PARCEL SERVICE INCORPORATED 6.20 01/15/2038 899,325 1,116,108 -------------- 74 Wells Fargo Advantage Master Portfolios Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED FIXED INCOME PORTFOLIO PRINCIPAL SECURITY NAME INTEREST RATE MATURITY DATE VALUE - --------------- ------------- --------------- ------------- -------------- NATIONAL SECURITY & INTERNATIONAL AFFAIRS: 0.02% $ 75,000 GOODRICH CORPORATION 7.63% 12/15/2012 $ 83,188 90,000 NORTHROP GRUMMAN CORPORATION 3.70 08/01/2014 91,261 85,000 NORTHROP GRUMMAN CORPORATION 5.05 08/01/2019 87,752 262,201 -------------- NETWORKING PRODUCTS: 0.12% 600,000 CISCO SYSTEMS INCORPORATED<< 4.95 02/15/2019 626,219 180,000 CISCO SYSTEMS INCORPORATED 5.25 02/22/2011 190,451 275,000 CISCO SYSTEMS INCORPORATED 5.50 02/22/2016 302,951 500,000 CISCO SYSTEMS INCORPORATED 5.90 02/15/2039 534,327 1,653,948 -------------- NON-DEPOSITORY CREDIT INSTITUTIONS: 1.88% 200,000 AMERICAN EXPRESS+/- 6.80 09/01/2049 156,000 250,000 AMERICAN EXPRESS BANK FSB SERIES BKN1 5.55 10/17/2012 259,924 500,000 AMERICAN EXPRESS CENTURION BANK SERIES BKN1 6.00 09/13/2017 493,373 800,000 AMERICAN EXPRESS COMPANY 7.00 03/19/2018 839,366 150,000 AMERICAN EXPRESS COMPANY<< 7.25 05/20/2014 165,074 150,000 AMERICAN EXPRESS COMPANY<< 8.13 05/20/2019 167,869 100,000 AMERICAN EXPRESS CREDIT CORPORATION 5.30 12/02/2015 94,367 1,000,000 AMERICAN EXPRESS CREDIT CORPORATION SERIES MTN 5.88 05/02/2013 1,044,428 65,000 AMERIPRISE FINANCIAL INCORPORATED 7.30 06/28/2019 71,682 250,000 BERKSHIRE HATHAWAY FINANCE CORPORATION++ 4.00 04/15/2012 260,496 300,000 BOEING CAPITAL CORPORATION 6.10 03/01/2011 319,895 100,000 BRANCH BANKING & TRUST SERIES BKNT 5.63 09/15/2016 100,470 200,000 CAPITAL ONE CAPITAL III 7.69 08/15/2036 155,000 50,000 CAPITAL ONE CAPITAL IV+/- 6.75 02/17/2037 36,000 115,000 CAPITAL ONE FINANCIAL COMPANY SERIES MTN 5.70 09/15/2011 118,663 300,000 CAPITAL ONE FINANCIAL CORPORATION 4.80 02/21/2012 297,001 750,000 CATERPILLAR FINANCIAL SERVICES CORPORATION<< 6.13 02/17/2014 825,854 500,000 CATERPILLAR FINANCIAL SERVICES CORPORATION SERIES MTN 4.90 08/15/2013 518,858 275,000 CATERPILLAR FINANCIAL SERVICES CORPORATION SERIES MTN 5.50 03/15/2016 282,367 65,000 CATERPILLAR FINANCIAL SERVICES CORPORATION SERIES MTNF 4.75 02/17/2015 66,242 275,000 CITIGROUP INCORPORATED 6.00 10/31/2033 211,771 500,000 CME GROUP INCORPORATED 5.75 02/15/2014 546,477 500,000 COUNTRYWIDE FINANCIAL CORPORATION SERIES MTN 5.80 06/07/2012 518,798 625,000 CREDIT SUISSE NEW YORK<< 6.00 02/15/2018 642,803 500,000 GENERAL ELECTRIC CAPITAL CORPORATION 3.00 12/09/2011 517,390 1,250,000 GENERAL ELECTRIC CAPITAL CORPORATION<< 4.80 05/01/2013 1,297,958 525,000 GENERAL ELECTRIC CAPITAL CORPORATION 5.00 11/15/2011 549,614 1,000,000 GENERAL ELECTRIC CAPITAL CORPORATION 5.63 05/01/2018 995,765 500,000 GENERAL ELECTRIC CAPITAL CORPORATION 5.88 01/14/2038 443,853 125,000 GENERAL ELECTRIC CAPITAL CORPORATION<< 5.90 05/13/2014 133,589 650,000 GENERAL ELECTRIC CAPITAL CORPORATION SERIES GMTN 6.15 08/07/2037 595,162 500,000 GENERAL ELECTRIC CAPITAL CORPORATION SERIES MTN 5.00 01/08/2016 499,224 1,500,000 GENERAL ELECTRIC CAPITAL CORPORATION SERIES MTN 5.63 09/15/2017 1,503,299 1,200,000 GENERAL ELECTRIC CAPITAL CORPORATION SERIES MTNA 4.38 03/03/2012 1,225,962 400,000 GENERAL ELECTRIC CAPITAL CORPORATION SERIES MTNA<< 6.75 03/15/2032 396,786 200,000 HSBC FINANCE CAPITAL TRUST IX+/- 5.91 11/30/2035 133,000 300,000 HSBC FINANCE CORPORATION 4.63 09/15/2010 306,118 325,000 HSBC FINANCE CORPORATION 5.00 06/30/2015 325,910 450,000 HSBC FINANCE CORPORATION 5.25 01/14/2011 461,273 500,000 HSBC FINANCE CORPORATION 6.38 10/15/2011 520,961 800,000 HSBC FINANCE CORPORATION 6.38 11/27/2012 859,178 1,000,000 IBM INTERNATIONAL GROUP CAPITAL LLC 5.05 10/22/2012 1,089,281 Wells Fargo Advantage Master Portfolios 75 Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED FIXED INCOME PORTFOLIO PRINCIPAL SECURITY NAME INTEREST RATE MATURITY DATE VALUE - --------------- ------------- --------------- ------------- -------------- NON-DEPOSITORY CREDIT INSTITUTIONS (continued) $ 250,000 JOHN DEERE CAPITAL CORPORATION 7.00% 03/15/2012 $ 278,836 250,000 JOHN DEERE CAPITAL CORPORATION SERIES MTN 5.25 10/01/2012 270,017 100,000 JOHN DEERE CAPITAL CORPORATION SERIES MTN 5.50 04/13/2017 106,689 500,000 JOHN DEERE CAPITAL CORPORATION SERIES MTN 5.75 09/10/2018 541,985 1,250,000 JPMORGAN CHASE BANK NATIONAL SERIES BKNT 6.00 10/01/2017 1,317,743 180,000 JPMORGAN CHASE CAPITAL XV 5.88 03/15/2035 154,468 150,000 JPMORGAN CHASE CAPITAL XXII SERIES V 6.45 02/02/2037 128,953 150,000 NATIONAL RURAL UTILITIES COOPERATIVE FINANCE CORPORATION 5.50 07/01/2013 160,153 400,000 NATIONAL RURAL UTILITIES COOPERATIVE FINANCE CORPORATION 10.38 11/01/2018 518,568 180,000 NATIONAL RURAL UTILITIES COOPERATIVE FINANCE CORPORATION SERIES MTNC 7.25 03/01/2012 198,363 150,000 NATIONAL RURAL UTILITIES COOPERATIVE FINANCE CORPORATION SERIES MTNC 8.00 03/01/2032 169,947 65,000 SLM CORPORATION SERIES MTN 5.63 08/01/2033 36,111 750,000 SLM CORPORATION SERIES MTN 8.45 06/15/2018 576,971 300,000 SLM CORPORATION SERIES MTNA 5.00 10/01/2013 219,832 100,000 UNILEVER CAPITAL CORPORATION 5.90 11/15/2032 108,878 100,000 UNILEVER CAPITAL CORPORATION 7.13 11/01/2010 107,136 24,941,751 ---------- OFFICE EQUIPMENT: 0.08% 570,000 XEROX CORPORATION 5.50 05/15/2012 594,222 150,000 XEROX CORPORATION 6.35 05/15/2018 153,491 250,000 XEROX CORPORATION 6.75 02/01/2017 258,788 70,000 XEROX CORPORATION 8.25 05/15/2014 78,824 1,085,325 ---------- OIL & GAS EXTRACTION: 0.80% 100,000 ANADARKO PETROLEUM CORPORATION 5.95 09/15/2016 103,993 100,000 ANADARKO PETROLEUM CORPORATION 6.45 09/15/2036 98,987 500,000 ANADARKO PETROLEUM CORPORATION 7.63 03/15/2014 565,169 100,000 APACHE CORPORATION 5.25 04/15/2013 106,942 30,000 APACHE CORPORATION 5.63 01/15/2017 32,512 100,000 APACHE CORPORATION 6.00 01/15/2037 110,353 100,000 APACHE CORPORATION 6.25 04/15/2012 110,432 100,000 BAKER HUGHES INCORPORATION 6.50 11/15/2013 112,073 75,000 BAKER HUGHES INCORPORATION 7.50 11/15/2018 89,911 150,000 BJ SERVICES COMPANY 6.00 06/01/2018 147,981 65,000 CANADIAN NATURAL RESOURCES LIMITED 5.85 02/01/2035 64,622 150,000 CONOCOPHILLIPS 4.40 05/15/2013 157,553 100,000 CONOCOPHILLIPS 5.90 05/15/2038 106,483 350,000 CONOCOPHILLIPS 6.50 02/01/2039 404,680 300,000 CONOCOPHILLIPS COMPANY 6.95 04/15/2029 345,862 750,000 CONOCOPHLLIPS COMPANY 5.75 02/01/2019 821,250 300,000 DEVON ENERGY CORPORATION 6.30 01/15/2019 331,226 1,180,000 DEVON FINANCING CORPORATION ULC 6.88 09/30/2011 1,287,644 120,000 DEVON FINANCING CORPORATION ULC 7.88 09/30/2031 147,832 65,000 DIAMOND OFFSHORE DRILLING INCORPORATED 5.88 05/01/2019 69,827 500,000 EL PASO ENERGY CORPORATION++ 5.90 04/01/2017 512,201 150,000 EL PASO NATURAL GAS COMPANY 5.95 04/15/2017 154,134 75,000 EOG RESOURCES INCORPORATED 5.63 06/01/2019 82,205 150,000 EOG RESOURCES INCORPORATED 6.88 10/01/2018 175,680 75,000 EQT CORPORATION 8.13 06/01/2019 84,256 150,000 HALLIBURTON COMPANY 5.50 10/15/2010 156,342 150,000 HALLIBURTON COMPANY 6.15 09/15/2019 166,983 150,000 HALLIBURTON COMPANY 7.45 09/15/2039 185,004 120,000 HESS CORPORATION 7.30 08/15/2031 132,183 76 Wells Fargo Advantage Master Portfolios Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED FIXED INCOME PORTFOLIO PRINCIPAL SECURITY NAME INTEREST RATE MATURITY DATE VALUE - --------------- ------------- --------------- ------------- -------------- OIL & GAS EXTRACTION (continued) $ 180,000 HESS CORPORATION 7.88% 10/01/2029 $ 213,646 500,000 NABORS INDUSTRIES INCORPORATED 9.25 01/15/2019 586,813 120,000 NEXEN INCORPORATED 7.88 03/15/2032 127,100 350,000 NOBLE ENERGY INCORPORATED 8.25 03/01/2019 417,586 150,000 OCCIDENTAL PETROLEUM CORPORATION 4.13 06/01/2016 153,131 180,000 OCCIDENTAL PETROLEUM CORPORATION 6.75 01/15/2012 199,576 150,000 PANHANDLE EAST PIPE LINE 6.20 11/01/2017 154,816 250,000 PC FINANCIAL PARTNERSHIP 5.00 11/15/2014 256,655 50,000 PRAXAIR INCORPORATED 5.20 03/15/2017 53,224 65,000 TALISMAN ENERGY INCORPORATED 5.13 05/15/2015 66,067 500,000 VALERO ENERGY CORPORATION 6.13 06/15/2017 499,118 100,000 VALERO ENERGY CORPORATION 7.50 04/15/2032 97,029 100,000 VALERO ENERGY CORPORATION 9.38 03/15/2019 115,320 125,000 XTO ENERGY INCORPORATED 4.90 02/01/2014 129,709 125,000 XTO ENERGY INCORPORATED 6.10 04/01/2036 132,684 500,000 XTO ENERGY INCORPORATED 6.75 08/01/2037 548,293 10,615,087 -------------- PAPER & ALLIED PRODUCTS: 0.14% 15,000 BEMIS COMPANY INCORPORATED 5.65 08/01/2014 15,725 10,000 BEMIS COMPANY INCORPORATED 6.80 08/01/2019 10,877 200,000 INTERNATIONAL PAPER COMAPNY 7.50 08/15/2021 202,657 180,000 INTERNATIONAL PAPER COMPANY 5.30 04/01/2015 173,462 500,000 INTERNATIONAL PAPER COMPANY 7.95 06/15/2018 530,693 300,000 KIMBERLY-CLARK CORPORATION 5.00 08/15/2013 318,678 200,000 KIMBERLY-CLARK CORPORATION 6.63 08/01/2037 242,732 100,000 KIMBERLY-CLARK CORPORATION 7.50 11/01/2018 124,183 200,000 PACTIV CORPORATION 6.40 01/15/2018 197,770 1,816,777 -------------- PETROLEUM REFINING & RELATED INDUSTRIES: 0.17% 500,000 CHEVRON CORPORATION 3.95 03/03/2014 524,369 500,000 CONOCOPHILLIPS 4.60 01/15/2015 532,436 65,000 ENTERPRISE PRODUCTS OPERATING LP SERIES B 5.60 10/15/2014 68,751 150,000 MARATHON OIL CORPORATION 6.00 07/01/2012 164,068 625,000 MARATHON OIL CORPORATION 6.00 10/01/2017 647,356 50,000 MARATHON OIL CORPORATION 6.60 10/01/2037 51,826 100,000 SEMPRA ENERGY 6.00 02/01/2013 105,856 100,000 SUNOCO INCORPORATED 5.75 01/15/2017 97,960 2,192,622 -------------- PHARMACEUTICALS: 0.34% 400,000 ELI LILLY & COMPANY 5.50 03/15/2027 419,628 250,000 GLAXOSMITHKLINE CAPITAL INCORPORATED 4.38 04/15/2014 264,268 500,000 GLAXOSMITHKLINE CAPITAL INCORPORATED 5.65 05/15/2018 545,493 300,000 GLAXOSMITHKLINE CAPITAL INCORPORATED 6.38 05/15/2038 350,724 150,000 MERCK & COMPANY INCORPORATED 5.75 11/15/2036 161,696 65,000 MERCK & COMPANY INCORPORATED 5.95 12/01/2028 71,168 250,000 PFIZER INCORPORATED<< 4.45 03/15/2012 264,812 300,000 PFIZER INCORPORATED<< 4.50 02/15/2014 321,325 250,000 PFIZER INCORPORATED 5.35 03/15/2015 278,243 1,300,000 PFIZER INCORPORATED 6.20 03/15/2019 1,469,770 250,000 PFIZER INCORPORATED 7.20 03/15/2039 313,866 4,460,993 -------------- Wells Fargo Advantage Master Portfolios 77 Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED FIXED INCOME PORTFOLIO PRINCIPAL SECURITY NAME INTEREST RATE MATURITY DATE VALUE - --------------- ------------- --------------- ------------- -------------- PIPELINES: 0.28% $ 150,000 BOARDWALK PIPELINES LP 5.75% 09/15/2019 $ 148,637 100,000 BOARDWALK PIPELINES LP 5.88 11/15/2016 100,108 150,000 BUCKEYE PARTNERS LP 5.50 08/15/2019 152,294 100,000 BUCKEYE PARTNERS LP 6.05 01/15/2018 103,981 75,000 CENTERPOINT ENERGY RESOURCES CORPORATION SERIES B 7.88 04/01/2013 84,276 65,000 ENBRIDGE ENERGY PARTNERS LP 5.88 12/15/2016 64,894 75,000 ENTERPRISE PRODUCTS OPERATING LP SERIES B 6.88 03/01/2033 83,923 100,000 EQUITABLE RESOURCES INCORPORATED 6.50 04/01/2018 100,967 100,000 KANEB PIPE LINE OPERATING PARTNERSHIP LP 5.88 06/01/2013 101,273 100,000 KINDER MORGAN ENERGY PARTNERS LP 5.00 12/15/2013 103,935 500,000 KINDER MORGAN ENERGY PARTNERS LP 5.13 11/15/2014 519,801 100,000 KINDER MORGAN ENERGY PARTNERS LP 5.80 03/15/2035 93,930 500,000 KINDER MORGAN ENERGY PARTNERS LP SERIES MTN 6.95 01/15/2038 540,560 125,000 MAGELLAN MIDSTREAM PARTNERS LP 6.55 07/15/2019 137,980 50,000 PLAINS ALL AMERICAN PIPELINE LP 6.13 01/15/2017 51,665 150,000 PLAINS ALL AMERICAN PIPELINE LP 6.50 05/01/2018 158,624 200,000 PLAINS ALL AMERICAN PIPELINE LP 6.65 01/15/2037 208,253 150,000 PLAINS ALL AMERICAN PIPELINE LP 8.75 05/01/2019 180,871 45,000 PPL ELECTRIC UTILITIES CORPORATION 6.25 05/15/2039 50,740 250,000 TEPPCO PARTNERS LP 5.90 04/15/2013 268,966 250,000 TEPPCO PARTNERS LP 6.65 04/15/2018 269,501 100,000 TEPPCO PARTNERS LP 7.55 04/15/2038 116,766 75,000 TEXAS EASTERN TRANSMISSION LP 7.00 07/15/2032 83,456 3,725,401 -------------- PRIMARY METAL INDUSTRIES: 0.11% 25,000 ALCOA INCORPORATED 5.55 02/01/2017 23,674 300,000 ALCOA INCORPORATED 5.90 02/01/2027 249,919 25,000 ALCOA INCORPORATED 5.95 02/01/2037 19,565 200,000 ALCOA INCORPORATED 6.00 07/15/2013 205,528 250,000 ALCOA INCORPORATED<< 6.50 06/01/2011 258,024 50,000 ALCOA INCORPORATED 6.75 07/15/2018 48,697 75,000 ALCOA INCORPORATED 6.75 01/15/2028 64,129 150,000 ALLEGHENY TECHNOLOGIES INCORPORATED 9.38 06/01/2019 164,488 50,000 COMMERCIAL METALS COMPANY 6.50 07/15/2017 48,619 20,000 CORNING INCORPORATED 6.63 05/15/2019 21,625 100,000 NUCOR CORPORATION 5.00 06/01/2013 107,281 150,000 NUCOR CORPORATION 5.85 06/01/2018 163,362 50,000 NUCOR CORPORATION 6.40 12/01/2037 56,566 1,431,477 -------------- PRINTING, PUBLISHING & ALLIED INDUS TRIES: 0.06% 600,000 NEWS AMERICA INCORPORATED 6.65 11/15/2037 617,008 65,000 RR DONNELLEY & SONS COMPANY 5.50 05/15/2015 60,000 50,000 RR DONNELLEY & SONS COMPANY 6.13 01/15/2017 46,406 100,000 RR DONNELLEY & SONS COMPANY 8.60 08/15/2016 101,165 824,579 -------------- RAILROAD TRANSPORTATION: 0.26% 500,000 BURLINGTON NORTHERN SANTA FE CORPORATION 4.88 01/15/2015 516,047 360,000 BURLINGTON NORTHERN SANTA FE CORPORATION 5.65 05/01/2017 382,087 50,000 BURLINGTON NORTHERN SANTA FE CORPORATION 6.15 05/01/2037 55,119 100,000 CSX CORPORATION 5.60 05/01/2017 103,153 100,000 CSX CORPORATION 6.00 10/01/2036 97,770 70,000 CSX CORPORATION 6.15 05/01/2037 71,117 78 Wells Fargo Advantage Master Portfolios Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED FIXED INCOME PORTFOLIO PRINCIPAL SECURITY NAME INTEREST RATE MATURITY DATE VALUE - --------------- ------------- --------------- ------------- -------------- RAILROAD TRANSPORTATION (continued) $ 250,000 CSX CORPORATION 6.25% 04/01/2015 $ 276,989 300,000 CSX CORPORATION 6.30 03/15/2012 321,182 200,000 CSX CORPORATION 7.45 04/01/2038 236,914 275,000 NORFOLK SOUTHERN CORPORATION 5.59 05/17/2025 269,903 100,000 NORFOLK SOUTHERN CORPORATION 5.75 04/01/2018 106,944 65,000 NORFOLK SOUTHERN CORPORATION 5.90 06/15/2019 70,765 360,000 UNION PACIFIC CORPORATION 4.88 01/15/2015 377,703 200,000 UNION PACIFIC CORPORATION 5.75 11/15/2017 214,126 40,000 UNION PACIFIC CORPORATION 6.15 05/01/2037 43,191 300,000 UNION PACIFIC CORPORATION 7.88 01/15/2019 364,860 3,507,870 -------------- REAL ESTATE: 0.01% 200,000 DUKE REALTY LP 6.25 05/15/2013 197,531 -------------- REAL ESTATE INVESTMENT TRUSTS (REIT S): 0.20% 100,000 HEALTH CARE PROPERTY INVESTORS INCORPORATED 5.63 05/01/2017 88,306 200,000 HEALTH CARE PROPERTY INVESTORS INCORPORATED 6.00 01/30/2017 182,397 75,000 HEALTHCARE REALTY TRUST INCORPORATED 8.13 05/01/2011 78,579 75,000 HOSPITALITY PROPERTIES TRUST 5.63 03/15/2017 63,621 250,000 HOSPITALITY PROPERTIES TRUST 7.88 08/15/2014 246,354 250,000 INTERNATIONAL LEASE FINANCE CORPORATION SERIES MTN 5.55 09/05/2012 199,032 125,000 INTERNATIONAL LEASE FINANCE CORPORATION SERIES MTN 5.75 06/15/2011 111,526 75,000 LIBERTY PROPERTY LP 5.50 12/15/2016 65,982 150,000 LIBERTY PROPERTY LP<< 6.63 10/01/2017 138,354 150,000 MACK-CALI REALTY CORPORATION 7.75 08/15/2019 152,062 100,000 PROLOGIS 7.63 08/15/2014 98,952 300,000 PROLOGIS TRUST 5.63 11/15/2016 261,166 100,000 PROLOGIS TRUST<< 6.63 05/15/2018 89,212 100,000 REALTY INCOME CORPORATION 5.95 09/15/2016 95,403 100,000 REGENCY CENTERS LP 5.88 06/15/2017 90,217 50,000 SIMON PROPERTY GROUP LP 5.00 03/01/2012 51,260 50,000 SIMON PROPERTY GROUP LP 5.25 12/01/2016 48,156 300,000 SIMON PROPERTY GROUP LP 5.75 05/01/2012 314,631 125,000 SIMON PROPERTY GROUP LP 5.75 12/01/2015 129,472 105,000 SIMON PROPERTY GROUP LP<< 6.75 05/15/2014 112,511 2,617,193 -------------- RUBBER & MISCELLANEOUS PLASTICS PRO DUCTS: 0.01% 100,000 COOPER US INCORPORATED 6.10 07/01/2017 109,772 -------------- SECURITY & COMMODITY BROKERS, DEALE RS, EXCHANGES & SERVICES: 2.03% 180,000 BEAR STEARNS COMPANIES INCORPORATED 5.30 10/30/2015 182,438 600,000 BEAR STEARNS COMPANIES INCORPORATED 5.50 08/15/2011 629,981 25,000 BEAR STEARNS COMPANIES INCORPORATED 5.55 01/22/2017 25,284 120,000 BEAR STEARNS COMPANIES INCORPORATED 6.40 10/02/2017 130,220 500,000 BEAR STEARNS COMPANIES INCORPORATED SERIES MTN 6.95 08/10/2012 558,630 75,000 CHARLES SCHWAB CORPORATION 4.95 06/01/2014 78,900 500,000 CREDIT SUISSE USA INCORPORATED<< 5.50 08/15/2013 535,324 250,000 CREDIT SUISSE USA INCORPORATED 7.13 07/15/2032 282,020 50,000 EATON VANCE CORPORATION 6.50 10/02/2017 51,913 200,000 GOLDMAN SACHS CAPITAL II+/- 5.79 12/31/2049 144,000 500,000 GOLDMAN SACHS GROUP INCORPORATED<< 1.70 03/15/2011 506,963 350,000 GOLDMAN SACHS GROUP INCORPORATED<< 3.25 06/15/2012 364,991 700,000 GOLDMAN SACHS GROUP INCORPORATED 4.75 07/15/2013 723,686 275,000 GOLDMAN SACHS GROUP INCORPORATED<< 5.35 01/15/2016 280,258 Wells Fargo Advantage Master Portfolios 79 Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED FIXED INCOME PORTFOLIO PRINCIPAL SECURITY NAME INTEREST RATE MATURITY DATE VALUE - --------------- ------------- --------------- ------------- -------------- SECURITY & COMMODITY BROKERS, DEALERS, EXCHANGES & SERVICES (continued) $ 1,000,000 GOLDMAN SACHS GROUP INCORPORATED 5.45% 11/01/2012 $ 1,065,983 500,000 GOLDMAN SACHS GROUP INCORPORATED 5.75 10/01/2016 517,439 70,000 GOLDMAN SACHS GROUP INCORPORATED 5.95 01/15/2027 64,116 1,545,000 GOLDMAN SACHS GROUP INCORPORATED 6.00 05/01/2014 1,665,824 250,000 GOLDMAN SACHS GROUP INCORPORATED 6.15 04/01/2018 263,895 1,250,000 GOLDMAN SACHS GROUP INCORPORATED 6.25 09/01/2017 1,324,889 450,000 GOLDMAN SACHS GROUP INCORPORATED<< 6.35 02/15/2034 396,677 1,025,000 GOLDMAN SACHS GROUP INCORPORATED 6.60 01/15/2012 1,109,698 925,000 GOLDMAN SACHS GROUP INCORPORATED 6.75 10/01/2037 926,091 1,000,000 GOLDMAN SACHS GROUP INCORPORATED<< 6.88 01/15/2011 1,067,011 300,000 GOLDMAN SACHS GROUP INCORPORATED 7.50 02/15/2019 345,389 150,000 JEFFERIES GROUP INCORPORATED 6.45 06/08/2027 119,385 300,000 JEFFERIES GROUP INCORPORATED 8.50 07/15/2019 310,051 450,000 MERRILL LYNCH & COMPANY INCORPORATED 5.45 07/15/2014 452,058 500,000 MERRILL LYNCH & COMPANY INCORPORATED 5.70 05/02/2017 467,963 1,000,000 MERRILL LYNCH & COMPANY INCORPORATED 6.05 08/15/2012 1,042,022 250,000 MERRILL LYNCH & COMPANY INCORPORATED 6.05 05/16/2016 243,621 300,000 MERRILL LYNCH & COMPANY INCORPORATED 6.11 01/29/2037 258,424 100,000 MERRILL LYNCH & COMPANY INCORPORATED 6.22 09/15/2026 90,194 500,000 MERRILL LYNCH & COMPANY INCORPORATED 6.40 08/28/2017 492,749 500,000 MERRILL LYNCH & COMPANY INCORPORATED 7.75 05/14/2038 530,941 500,000 MERRILL LYNCH & COMPANY INCORPORATED SERIES MTN 5.77 07/25/2011 516,486 690,000 MERRILL LYNCH & COMPANY INCORPORATED SERIES MTN 6.88 04/25/2018 704,546 1,000,000 MORGAN STANLEY 2.25 03/13/2012 1,017,563 300,000 MORGAN STANLEY 3.25 12/01/2011 312,317 525,000 MORGAN STANLEY 5.38 10/15/2015 537,159 1,300,000 MORGAN STANLEY<< 6.00 05/13/2014 1,378,506 500,000 MORGAN STANLEY 6.60 04/01/2012 543,293 120,000 MORGAN STANLEY 7.25 04/01/2032 138,247 400,000 MORGAN STANLEY 7.30 05/13/2019 445,452 500,000 MORGAN STANLEY SERIES EMTN 5.45 01/09/2017 495,826 1,500,000 MORGAN STANLEY SERIES MTN 5.25 11/02/2012 1,586,126 850,000 MORGAN STANLEY SERIES MTN 5.55 04/27/2017 846,669 1,000,000 MORGAN STANLEY SERIES MTN 6.63 04/01/2018 1,068,539 100,000 RAYMOND JAMES FINANCIAL INCORPORATED 8.60 08/15/2019 105,099 26,944,856 -------------- TOBACCO PRODUCTS: 0.28% 1,050,000 ALTRIA GROUP INCORPORATED 9.70 11/10/2018 1,284,407 500,000 ALTRIA GROUP INCORPORATED 10.20 02/06/2039 669,875 155,000 LORILLARD TOBACCO COMPANY 8.13 06/23/2019 172,436 125,000 PHILIP MORRIS INTERNATIONAL INCORPORATED 4.88 05/16/2013 133,076 150,000 PHILIP MORRIS INTERNATIONAL INCORPORATED 5.65 05/16/2018 159,520 100,000 PHILIP MORRIS INTERNATIONAL INCORPORATED 6.38 05/16/2038 113,654 750,000 PHILIP MORRIS INTERNATIONAL INCORPORATED 6.88 03/17/2014 856,379 200,000 REYNOLDS AMERICAN INCORPORATED 7.25 06/15/2037 192,362 100,000 UST INCORPORATED 5.75 03/01/2018 95,791 3,677,500 -------------- TRANSPORTATION BY AIR: 0.07% 150,000 CONTINENTAL AIRLINES INCORPORATED 9.00 07/08/2016 154,125 75,000 CONTINENTAL AIRLINES INCORPORATED SERIES A (a) 5.98 04/19/2022 64,875 100,666 DELTA AIR LINES INCORPORATED (a) 6.82 08/10/2022 88,586 20,000 FEDEX CORPORATION 7.38 01/15/2014 22,542 100,000 FEDEX CORPORATION 8.00 01/15/2019 119,723 80 Wells Fargo Advantage Master Portfolios Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED FIXED INCOME PORTFOLIO PRINCIPAL SECURITY NAME INTEREST RATE MATURITY DATE VALUE - --------------- ------------- --------------- ------------- -------------- TRANSPORTATION BY AIR (continued) $ 120,000 LOCKHEED MARTIN CORPORATION 8.50% 12/01/2029 $ 159,552 199,374 NORTHWEST AIRLINES INCORPORATED (a) 7.03 11/01/2019 159,499 120,000 RAYTHEON COMPANY 7.20 08/15/2027 142,635 911,537 -------------- TRANSPORTATION EQUIPMENT: 0.47% 1,000,000 BOEING COMPANY 5.00 03/15/2014 1,078,013 180,000 BOEING COMPANY 6.13 02/15/2033 193,971 100,000 DAIMLER FINANCE NA LLC 5.88 03/15/2011 104,070 330,000 DAIMLER FINANCE NA LLC 6.50 11/15/2013 351,467 200,000 DAIMLER FINANCE NA LLC 7.30 01/15/2012 214,576 225,000 DAIMLER FINANCE NA LLC 8.50 01/18/2031 266,892 35,000 GENERAL DYNAMICS CORPORATION 1.80 07/15/2011 35,140 500,000 GENERAL DYNAMICS CORPORATION 5.25 02/01/2014 544,634 100,000 HONEYWELL INTERNATIONAL INCORPORATED 4.25 03/01/2013 105,001 500,000 HONEYWELL INTERNATIONAL INCORPORATED 5.00 02/15/2019 524,952 100,000 HONEYWELL INTERNATIONAL INCORPORATED 5.30 03/01/2018 107,053 250,000 HONEYWELL INTERNATIONAL INCORPORATED 5.70 03/15/2037 268,184 150,000 JOHNSON CONTROLS INCORPORATED<< 5.25 01/15/2011 153,743 350,000 LOCKHEED MARTIN CORPORATION SERIES B 6.15 09/01/2036 389,750 520,000 NORTHROP GRUMMAN CORPORATION 7.75 02/15/2031 673,321 100,000 UNITED TECHNOLOGIES CORPORATION 4.88 05/01/2015 108,825 565,000 UNITED TECHNOLOGIES CORPORATION 6.13 02/01/2019 633,596 430,000 UNITED TECHNOLOGIES CORPORATION 7.50 09/15/2029 534,222 6,287,410 -------------- WHOLESALE TRADE NON-DURABLE GOODS: 0.05% 300,000 MCKESSON HBOC INCORPORATED<< 5.25 03/01/2013 316,727 89,000 SAFEWAY INCORPORATED 5.80 08/15/2012 96,416 200,000 SYSCO CORPORATION 6.63 03/17/2039 236,630 649,773 -------------- WHOLESALE TRADE-DURABLE GOODS: 0.02% 180,000 JOHNSON & JOHNSON 4.95 05/15/2033 176,783 25,000 MARTIN MARIETTA MATERIALS INCORPORATED 6.25 05/01/2037 20,435 125,000 MARTIN MARIETTA MATERIALS INCORPORATED 6.60 04/15/2018 120,621 317,839 -------------- TOTAL CORPORATE BONDS & NOTES (COST $275,175,148) 289,325,166 -------------- FOREIGN CORPORATE BONDS: 3.06% 150,000 ALBERTA ENERGY COMPANY LIMITED 8.13 09/15/2030 188,135 180,000 ALCAN INCORPORATED 5.00 06/01/2015 180,790 100,000 ALCAN INCORPORATED 6.13 12/15/2033 91,466 100,000 AMERICA MOVIL SAB DE CV 5.63 11/15/2017 100,277 100,000 AMERICA MOVIL SAB DE CV 6.13 11/15/2037 99,087 75,000 ANADARKO FINANCE COMPANY SERIES B 6.75 05/01/2011 79,581 325,000 ANADARKO FINANCE COMPANY SERIES B 7.50 05/01/2031 347,476 750,000 ARCELORMITTAL<< 5.38 06/01/2013 755,870 425,000 ARCELORMITTAL<< 9.00 02/15/2015 468,563 250,000 ARCELORMITTAL 9.85 06/01/2019 285,559 75,000 ASTRAZENECA PLC 5.40 06/01/2014 82,518 500,000 ASTRAZENECA PLC 5.90 09/15/2017 555,606 350,000 ASTRAZENECA PLC 6.45 09/15/2037 411,623 150,000 AXA SA 8.60 12/15/2030 153,913 Wells Fargo Advantage Master Portfolios 81 Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED FIXED INCOME PORTFOLIO PRINCIPAL SECURITY NAME INTEREST RATE MATURITY DATE VALUE - --------------- ------------- --------------- ------------- -------------- Foreign Corporate Bonds (continued) $ 65,000 AXIS CAPITAL HOLDINGS LIMITED 5.75% 12/01/2014 $ 65,755 600,000 BARCLAYS BANK PLC 5.20 07/10/2014 629,861 300,000 BARCLAYS BANK PLC 5.45 09/12/2012 321,107 250,000 BARCLAYS BANK PLC 6.75 05/22/2019 273,927 700,000 BARRICK GOLD CORPORATION 6.95 04/01/2019 813,796 250,000 BHP BILLITON FINANCE USA LIMITED 5.00 12/15/2010 259,086 150,000 BHP BILLITON FINANCE USA LIMITED 5.25 12/15/2015 157,790 200,000 BHP BILLITON FINANCE USA LIMITED 5.40 03/29/2017 212,575 150,000 BHP BILLITON FINANCE USA LIMITED 5.50 04/01/2014 163,323 200,000 BHP BILLITON FINANCE USA LIMITED<< 6.50 04/01/2019 228,010 250,000 BP CAPITAL MARKETS PLC 1.55 08/11/2011 250,451 200,000 BP CAPITAL MARKETS PLC 3.63 05/08/2014 205,377 200,000 BP CAPITAL MARKETS PLC 3.88 03/10/2015 206,546 150,000 BP CAPITAL MARKETS PLC 4.75 03/10/2019 156,646 500,000 BRITISH TELECOMMUNICATIONS PLC 5.95 01/15/2018 509,151 300,000 BRITISH TELECOMMUNICATIONS PLC 9.13 12/15/2030 377,243 125,000 BROOKFIELD ASSET MANAGEMENT INCORPORATED 5.80 04/25/2017 104,426 100,000 BURLINGTON RESOURCES FINANCE COMPANY 6.50 12/01/2011 109,512 500,000 BURLINGTON RESOURCES FINANCE COMPANY 7.20 08/15/2031 582,817 350,000 CANADIAN NATIONAL RAILWAY COMPANY 6.38 11/15/2037 408,492 65,000 CANADIAN NATURAL RESOURCES LIMITED<< 4.90 12/01/2014 67,459 150,000 CANADIAN NATURAL RESOURCES LIMITED 5.70 05/15/2017 157,108 500,000 CANADIAN NATURAL RESOURCES LIMITED 6.25 03/15/2038 523,718 360,000 CANADIAN PACIFIC RAILWAY COMPANY 5.75 03/15/2033 328,315 65,000 CANADIAN PACIFIC RAILWAY COMPANY 5.95 05/15/2037 62,243 65,000 CANADIAN PACIFIC RAILWAY COMPANY<< 7.25 05/15/2019 74,239 65,000 CELULOSA ARAUCO Y CONSTITUCION SA 5.63 04/20/2015 66,393 325,000 CONOCO FUNDING COMPANY 6.35 10/15/2011 356,059 150,000 CONOCOPHILLIPS CANADA 5.63 10/15/2016 162,464 100,000 COVIDIEN INTERNATIONAL FINANCE SA 5.45 10/15/2012 108,990 350,000 COVIDIEN INTERNATIONAL FINANCE SA 6.00 10/15/2017 385,323 50,000 COVIDIEN INTERNATIONAL FINANCE SA 6.55 10/15/2037 57,831 200,000 CREDIT SUISSE NEW YORK NY 5.50 05/01/2014 214,950 1,000,000 DEUTSCHE BANK AG LONDON 4.88 05/20/2013 1,056,618 500,000 DEUTSCHE BANK AG LONDON 6.00 09/01/2017 532,275 275,000 DEUTSCHE TELEKOM INTERNATIONAL FINANCE BV 5.75 03/23/2016 292,699 830,000 DEUTSCHE TELEKOM INTERNATIONAL FINANCE BV 8.75 06/15/2030 1,104,494 50,000 DIAGEO CAPITAL PLC<< 5.20 01/30/2013 53,392 50,000 DIAGEO CAPITAL PLC 5.75 10/23/2017 54,516 75,000 DIAGEO CAPITAL PLC 5.88 09/30/2036 80,351 500,000 DIAGEO CAPITAL PLC<< 7.38 01/15/2014 577,605 125,000 DIAGEO FINANCE BV 5.30 10/28/2015 134,002 100,000 ENBRIDGE INCORPORATED 5.60 04/01/2017 102,468 400,000 ENCANA CORPORATION 6.50 05/15/2019 442,362 350,000 ENCANA CORPORATION 6.50 02/01/2038 377,528 100,000 ENCANA HOLDINGS FINANCE CORPORATION 5.80 05/01/2014 108,731 100,000 FALCONBRIDGE LIMITED 6.00 10/15/2015 95,131 500,000 FRANCE TELECOM SA 4.38 07/08/2014 522,508 750,000 FRANCE TELECOM SA 7.75 03/01/2011 815,159 225,000 FRANCE TELECOM SA 8.50 03/01/2031 304,783 250,000 GRUPO TELEVISA SA 6.00 05/15/2018 253,166 500,000 HSBC HOLDINGS PLC 6.50 05/02/2036 515,627 850,000 HSBC HOLDINGS PLC 6.50 09/15/2037 879,064 105,000 HUSKY ENERGY INCORPORATED 5.90 06/15/2014 112,985 100,000 HUSKY ENERGY INCORPORATED 6.80 09/15/2037 107,731 82 Wells Fargo Advantage Master Portfolios Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED FIXED INCOME PORTFOLIO PRINCIPAL SECURITY NAME INTEREST RATE MATURITY DATE VALUE - --------------- ------------- --------------- ------------- -------------- FOREIGN CORPORATE BONDS (continued) $ 65,000 HUSKY ENERGY INCORPORATED 7.25% 12/15/2019 $ 73,503 100,000 LAFARGE SA 6.15 07/15/2011 103,242 75,000 LAFARGE SA 6.50 07/15/2016 73,529 100,000 NEXEN INCORPORATED 5.65 05/15/2017 99,984 80,000 NEXEN INCORPORATED 6.20 07/30/2019 80,933 100,000 NEXEN INCORPORATED 6.40 05/15/2037 92,530 310,000 NEXEN INCORPORATED 7.50 07/30/2039 324,711 250,000 NOBLE HOLDINGS INTERNATIONAL LIMITED CORPORATION 7.38 03/15/2014 267,647 500,000 NOKIA CORPORATION 5.38 05/15/2019 524,021 250,000 NORSK HYDRO ASA 6.80 01/15/2028 281,528 500,000 NOVARTIS SECURITIES INVESTMENT LIMITED 5.13 02/10/2019 530,072 75,000 ORIX CORPORATION 5.48 11/22/2011 74,025 400,000 PETRO CANADA 6.80 05/15/2038 423,362 100,000 PHILIPS ELECTRONICS NV 6.88 03/11/2038 114,842 50,000 POTASH CORPORATION OF SASKATCHEWAN INCORPORATED 5.25 05/15/2014 53,313 65,000 POTASH CORPORATION OF SASKATCHEWAN INCORPORATED 6.50 05/15/2019 71,989 75,000 POTASH CORPORATION OF SASKATCHEWAN INCORPORATED 5.88 12/01/2036 75,002 150,000 REPUBLIC OF SOUTH AFRICA 6.88 05/27/2019 161,063 750,000 RIO TINTO FINANCE USA LIMITED 6.50 07/15/2018 807,407 225,000 RIO TINTO FINANCE USA LIMITED 8.95 05/01/2014 262,233 130,000 RIO TINTO FINANCE USA LIMITED 9.00 05/01/2019 155,712 500,000 ROGERS WIRELESS INCORPORATED 7.50 03/15/2015 586,359 200,000 ROYAL BANK CANADA<< 5.65 07/20/2011 214,441 360,000 ROYAL BANK OF SCOTLAND GROUP PLC 5.00 10/01/2014 318,320 75,000 ROYAL KPN NV 8.38 10/01/2030 95,780 225,000 SANTANDER CENTRAL HISPANO ISSUANCES LIMITED 7.63 09/14/2010 236,288 250,000 SHELL INTERNATIONAL FINANCE 4.00 03/21/2014 261,749 500,000 SHELL INTERNATIONAL FINANCE 4.95 03/22/2012 541,128 750,000 SHELL INTERNATIONAL FINANCE<< 6.38 12/15/2038 886,286 150,000 STATOILHYDRO ASA 3.88 04/15/2014 155,747 65,000 STATOILHYDRO ASA 5.25 04/15/2019 69,181 400,000 SUNCOR ENERGY INCORPORATED 5.45 06/10/2019 416,136 75,000 SUNCOR ENERGY INCORPORATED 5.95 12/01/2034 72,116 500,000 SUNCOR ENERGY INCORPORATED 6.10 06/01/2018 523,700 150,000 SUNCOR ENERGY INCORPORATED 6.50 06/15/2038 151,863 250,000 SUNCOR ENERGY INCORPORATED 6.85 06/01/2039 267,146 100,000 TALISMAN ENERGY INCORPORATED 6.25 02/01/2038 98,246 65,000 TALISMAN ENERGY INCORPORATED 7.75 06/01/2019 75,638 200,000 TELECOM ITALIA CAPITAL SA 5.25 10/01/2015 207,461 150,000 TELECOM ITALIA CAPITAL SA 6.00 09/30/2034 142,835 350,000 TELECOM ITALIA CAPITAL SA 6.20 07/18/2011 372,701 500,000 TELECOM ITALIA CAPITAL SA 7.72 06/04/2038 583,748 130,000 TELEFONICA EMISIONES SAU 4.95 01/15/2015 137,897 50,000 TELEFONICA EMISIONES SAU<< 5.98 06/20/2011 53,241 150,000 TELEFONICA EMISIONES SAU 6.42 06/20/2016 168,090 550,000 TELEFONICA EMISIONES SAU 7.05 06/20/2036 652,300 180,000 TELEFONICA EUROPE BV 7.75 09/15/2010 190,857 120,000 TELEFONICA EUROPE BV 8.25 09/15/2030 156,971 145,000 TELEFONICA SA 5.88 07/15/2019 157,732 65,000 TELEFONOS DE MEXICO SA DE CV 5.50 01/27/2015 66,858 180,000 TELUS CORPORATION 8.00 06/01/2011 195,912 200,000 THOMSON REUTERS CORPORATION 5.70 10/01/2014 218,356 500,000 THOMSON REUTERS CORPORATION 6.50 07/15/2018 560,722 65,000 TRANSCANADA PIPELINES LIMITED 4.88 01/15/2015 67,398 100,000 TRANSCANADA PIPELINES LIMITED 5.60 03/31/2034 99,546 585,000 TRANSCANADA PIPELINES LIMITED 6.20 10/15/2037 614,368 Wells Fargo Advantage Master Portfolios 83 Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED FIXED INCOME PORTFOLIO PRINCIPAL SECURITY NAME INTEREST RATE MATURITY DATE VALUE - --------------- ------------- --------------- ------------- -------------- FOREIGN CORPORATE BONDS (CONTINUED) $ 600,000 TRANSOCEAN INCORPORATED 6.00% 03/15/2018 $ 639,065 120,000 TRANSOCEAN INCORPORATED 7.50 04/15/2031 141,956 400,000 TYCO INTERNATIONAL GROUP SA 6.00 11/15/2013 430,300 1,000,000 UBS AG STAMFORD CT SERIES DPNT 5.88 12/20/2017 990,842 355,000 VALE OVERSEAS LIMITED 6.25 01/23/2017 376,241 510,000 VALE OVERSEAS LIMITED 6.88 11/21/2036 510,615 250,000 VODAFONE GROUP PLC 4.15 06/10/2014 256,076 180,000 VODAFONE GROUP PLC 4.63 07/15/2018 177,724 1,000,000 VODAFONE GROUP PLC 5.00 12/16/2013 1,061,625 75,000 VODAFONE GROUP PLC 5.38 01/30/2015 78,925 250,000 VODAFONE GROUP PLC 7.88 02/15/2030 308,741 100,000 WEATHERFORD INTERNATIONAL LIMITED 6.00 03/15/2018 102,003 300,000 WEATHERFORD INTERNATIONAL LIMITED 6.50 08/01/2036 293,272 50,000 WEATHERFORD INTERNATIONAL LIMITED 7.00 03/15/2038 51,701 100,000 XL CAPITAL LIMITED 5.25 09/15/2014 90,739 100,000 XL CAPITAL LIMITED 6.25 05/15/2027 77,022 TOTAL FOREIGN CORPORATE BONDS (COST $38,207,390) 40,779,254 -------------- FOREIGN GOVERNMENT BONDS@: 24.66% 500,000 AUSTRALIA GOVERNMENT BOND SERIES 122 (AUD) 5.25 03/15/2019 417,445 400,000 AUSTRALIA GOVERNMENT BOND SERIES 217 (AUD) 6.00 02/15/2017 351,225 600,000 AUSTRALIA GOVERNMENT BOND SERIES 513 (AUD) 6.50 05/15/2013 528,775 748,000 AUSTRALIA GOVERNMENT BOND SERIES 611 (AUD) 5.75 06/15/2011 644,892 385,000 BELGIUM GOVERNMENT BOND SERIES 31 (EUR) 5.50 03/28/2028 640,995 1,000,000 BELGIUM GOVERNMENT BOND SERIES 35 (EUR) 5.75 09/28/2010 1,507,813 2,000,000 BELGIUM GOVERNMENT BOND SERIES 38 (EUR) 5.00 09/28/2012 3,115,234 700,000 BELGIUM GOVERNMENT BOND SERIES 40 (EUR) 5.50 09/28/2017 1,145,526 1,000,000 BELGIUM GOVERNMENT BOND SERIES 43 (EUR) 4.25 09/28/2014 1,532,643 330,000 BELGIUM GOVERNMENT BOND SERIES 44 (EUR) 5.00 03/28/2035 519,568 1,050,000 BELGIUM GOVERNMENT BOND SERIES 49 (EUR) 4.00 03/28/2017 1,565,276 500,000 BELGIUM KINGDOM SERIES 56 (EUR) 3.50 03/28/2015 736,703 1,000,000 BONOS Y OBLIGACIONES DEL ESTADO (EUR) 4.25 01/31/2014 1,531,334 1,500,000 BONOS Y OBLIGACIONES DEL ESTADO (EUR) 4.60 07/30/2019 2,300,118 400,000 BOUNI POLIENNALI DEL TES (EUR) 4.50 08/01/2018 603,125 1,200,000 BUNDESOBLIGATION SERIES 147 (EUR) 2.50 10/08/2010 1,752,037 1,495,000 BUNDESREPUBLIK DEUTSCHLAND SERIES 00 (EUR) 5.25 01/04/2011 2,265,776 750,000 BUNDESREPUBLIK DEUTSCHLAND SERIES 00 (EUR) 6.25 01/04/2030 1,395,716 1,550,000 BUNDESREPUBLIK DEUTSCHLAND SERIES 01 (EUR) 5.00 07/04/2011 2,369,420 1,400,000 BUNDESREPUBLIK DEUTSCHLAND SERIES 02 (EUR) 5.00 01/04/2012 2,161,075 1,000,000 BUNDESREPUBLIK DEUTSCHLAND SERIES 02 (EUR) 5.00 07/04/2012 1,556,900 1,140,000 BUNDESREPUBLIK DEUTSCHLAND SERIES 03 (EUR) 4.25 01/04/2014 1,760,696 2,200,000 BUNDESREPUBLIK DEUTSCHLAND SERIES 03 (EUR) 4.50 01/04/2013 3,400,075 660,000 BUNDESREPUBLIK DEUTSCHLAND SERIES 03 (EUR) 4.75 07/04/2034 1,045,550 1,600,000 BUNDESREPUBLIK DEUTSCHLAND SERIES 04 (EUR) 3.75 01/04/2015 2,426,975 1,000,000 BUNDESREPUBLIK DEUTSCHLAND SERIES 05 (EUR) 3.50 01/04/2016 1,494,122 1,100,000 BUNDESREPUBLIK DEUTSCHLAND SERIES 05 (EUR) 4.00 01/04/2037 1,575,677 1,200,000 BUNDESREPUBLIK DEUTSCHLAND SERIES 06 (EUR) 4.00 07/04/2016 1,839,138 300,000 BUNDESREPUBLIK DEUTSCHLAND SERIES 07 (EUR) 4.25 07/04/2039 451,561 1,700,000 BUNDESREPUBLIK DEUTSCHLAND SERIES 08 (EUR) 4.25 07/04/2018 2,639,784 1,500,000 BUNDESREPUBLIK DEUTSCHLAND SERIES 09 (EUR) 3.75 01/04/2019 2,241,076 655,000 BUNDESREPUBLIK DEUTSCHLAND SERIES 94 (EUR) 6.25 01/04/2024 1,200,248 700,000 BUNDESREPUBLIK DEUTSCHLAND SERIES 98 (EUR) 5.63 01/04/2028 1,214,087 1,000,000 BUONI POLIENNALI DEL TES (EUR) 2.50 07/01/2012 1,443,788 1,100,000 CANADIAN GOVERNMENT BOND (CAD) 1.00 09/01/2011 999,219 600,000 CANADIAN GOVERNMENT BOND (CAD) 2.00 12/01/2014 531,573 84 Wells Fargo Advantage Master Portfolios Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED FIXED INCOME PORTFOLIO PRINCIPAL SECURITY NAME INTEREST RATE MATURITY DATE VALUE - --------------- ------------- --------------- ------------- -------------- FOREIGN GOVERNMENT BONDS (CONTINUED) $ 500,000 CANADIAN GOVERNMENT BOND (CAD) 3.00% 06/01/2014 $ 466,627 500,000 CANADIAN GOVERNMENT BOND (CAD) 3.75 06/01/2019 470,884 1,300,000 CANADIAN GOVERNMENT BOND (CAD) 4.00 06/01/2016 1,267,997 300,000 CANADIAN GOVERNMENT BOND (CAD) 4.00 06/01/2041 278,644 400,000 CANADIAN GOVERNMENT BOND (CAD) 5.00 06/01/2037 433,341 1,000,000 CANADIAN GOVERNMENT BOND (CAD) 5.25 06/01/2013 1,012,067 450,000 CANADIAN GOVERNMENT BOND (CAD) 5.75 06/01/2033 519,912 1,000,000 CANADIAN GOVERNMENT BOND (CAD) 6.00 06/01/2011 990,728 95,000 CANADIAN GOVERNMENT BOND SERIES A55 (CAD) 8.00 06/01/2023 125,067 593,000 CANADIAN GOVERNMENT BOND SERIES VW17 (CAD) 8.00 06/01/2027 814,156 1,000,000 DENMARK GOVERNMENT BOND (DKK) 4.00 11/15/2010 198,121 925,000 DENMARK GOVERNMENT BOND (DKK) 4.00 11/15/2015 186,721 1,500,000 DENMARK GOVERNMENT BOND (DKK) 4.00 11/15/2017 300,619 1,500,000 DENMARK GOVERNMENT BOND (DKK) 4.00 11/15/2019 298,387 2,500,000 DENMARK GOVERNMENT BOND (DKK) 4.50 11/15/2039 521,444 4,000,000 DENMARK GOVERNMENT BOND (DKK) 5.00 11/15/2013 840,497 1,450,000 DENMARK GOVERNMENT BOND (DKK) 6.00 11/15/2011 303,509 500,000 DENMARK GOVERNMENT BOND (DKK) 7.00 11/10/2024 130,976 1,000,000 FRANCE GOVERNMENT BOND OAT (EUR) 3.75 04/25/2021 1,444,648 1,500,000 FRANCE GOVERNMENT BOND OAT (EUR) 4.00 04/25/2013 2,282,794 2,700,000 FRANCE GOVERNMENT BOND OAT (EUR) 4.00 04/25/2014 4,120,138 2,250,000 FRANCE GOVERNMENT BOND OAT (EUR) 4.25 04/25/2019 3,425,578 350,000 FRANCE GOVERNMENT BOND OAT (EUR) 4.50 04/25/2041 533,389 2,100,000 FRANCE GOVERNMENT BOND OAT (EUR) 4.75 10/25/2012 3,259,043 1,900,000 FRANCE GOVERNMENT BOND OAT (EUR) 4.75 04/25/2035 2,993,139 2,000,000 FRANCE GOVERNMENT BOND OAT (EUR) 5.00 10/25/2011 3,075,322 2,000,000 FRANCE GOVERNMENT BOND OAT (EUR) 5.00 04/25/2012 3,104,281 800,000 FRANCE GOVERNMENT BOND OAT (EUR) 5.00 10/25/2016 1,287,095 1,000,000 FRANCE GOVERNMENT BOND OAT (EUR) 6.00 10/25/2025 1,783,382 1,900,000 FRANCE GOVERNMENT BOND OAT (EUR) 8.50 10/25/2019 3,890,895 350,000 FRANCE TELECOM SA (EUR) 5.38 07/08/2019 369,816 1,155,000 FRENCH TREASURY NOTE BTAN (EUR) 3.00 01/12/2011 1,701,023 1,200,000 FRENCH TREASURY NOTE BTAN (EUR) 3.75 01/12/2013 1,810,167 1,425,000 ITALY BUONI POLIENNALI DEL TESORO (EUR) 3.75 08/01/2016 2,092,495 1,500,000 ITALY BUONI POLIENNALI DEL TESORO (EUR) 4.00 02/01/2037 1,871,506 1,300,000 ITALY BUONI POLIENNALI DEL TESORO (EUR) 4.25 08/01/2014 1,975,365 2,300,000 ITALY BUONI POLIENNALI DEL TESORO (EUR) 4.25 02/01/2015 3,487,457 3,250,000 ITALY BUONI POLIENNALI DEL TESORO (EUR) 4.25 02/01/2019 4,805,112 800,000 ITALY BUONI POLIENNALI DEL TESORO (EUR) 4.50 02/01/2020 1,190,813 1,900,000 ITALY BUONI POLIENNALI DEL TESORO (EUR) 4.75 02/01/2013 2,920,848 1,317,000 ITALY BUONI POLIENNALI DEL TESORO (EUR) 5.00 02/01/2012 2,020,568 1,400,000 ITALY BUONI POLIENNALI DEL TESORO (EUR) 5.00 08/01/2039 2,033,486 700,000 ITALY BUONI POLIENNALI DEL TESORO (EUR) 5.25 11/01/2029 1,064,772 2,900,000 ITALY BUONI POLIENNALI DEL TESORO (EUR) 5.50 11/01/2010 4,374,654 1,475,000 ITALY BUONI POLIENNALI DEL TESORO (EUR) 6.00 05/01/2031 2,425,142 1,500,000 ITALY BUONI POLIENNALI DEL TESORO (EUR) 6.50 11/01/2027 2,604,302 230,000 ITALY BUONI POLIENNALI DEL TESORO (EUR) 9.00 11/01/2023 486,748 350,000,000 JAPAN GOVERNMENT FIVE YEAR BOND SERIES 55 (JPY) 1.40 03/20/2011 3,829,700 650,000,000 JAPAN GOVERNMENT FIVE YEAR BOND SERIES 58 (JPY) 1.50 06/20/2011 7,144,866 75,000,000 JAPAN GOVERNMENT FIVE YEAR BOND SERIES 79 (JPY) 0.70 12/20/2013 811,789 75,000,000 JAPAN GOVERNMENT FIVE YEAR BOND SERIES 82 (JPY) 0.90 03/20/2014 818,069 150,000,000 JAPAN GOVERNMENT FIVE YEAR BOND SERIES 83 (JPY) 0.90 06/20/2014 1,634,710 1,050,000,000 JAPAN GOVERNMENT TEN YEAR BOND SERIES 226 (JPY) 1.80 12/20/2010 11,518,156 470,000,000 JAPAN GOVERNMENT TEN YEAR BOND SERIES 236 (JPY) 1.50 12/20/2011 5,193,028 300,000,000 JAPAN GOVERNMENT TEN YEAR BOND SERIES 237 (JPY) 1.50 03/20/2012 3,322,182 500,000,000 JAPAN GOVERNMENT TEN YEAR BOND SERIES 240 (JPY) 1.30 06/20/2012 5,519,017 Wells Fargo Advantage Master Portfolios 85 Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED FIXED INCOME PORTFOLIO PRINCIPAL SECURITY NAME INTEREST RATE MATURITY DATE VALUE - --------------- ------------- --------------- ------------- -------------- FOREIGN GOVERNMENT BONDS (continued) $ 410,000,000 JAPAN GOVERNMENT TEN YEAR BOND SERIES 243 (JPY) 1.10% 09/20/2012 $ 4,505,506 570,000,000 JAPAN GOVERNMENT TEN YEAR BOND SERIES 248 (JPY) 0.70 03/20/2013 6,184,969 700,000,000 JAPAN GOVERNMENT TEN YEAR BOND SERIES 253 (JPY) 1.60 09/20/2013 7,857,965 500,000,000 JAPAN GOVERNMENT TEN YEAR BOND SERIES 259 (JPY) 1.50 03/20/2014 5,595,712 250,000,000 JAPAN GOVERNMENT TEN YEAR BOND SERIES 264 (JPY) 1.50 09/20/2014 2,800,244 350,000,000 JAPAN GOVERNMENT TEN YEAR BOND SERIES 265 (JPY) 1.50 12/20/2014 3,919,714 300,000,000 JAPAN GOVERNMENT TEN YEAR BOND SERIES 269 (JPY) 1.30 03/20/2015 3,325,332 370,000,000 JAPAN GOVERNMENT TEN YEAR BOND SERIES 277 (JPY) 1.60 03/20/2016 4,170,749 480,000,000 JAPAN GOVERNMENT TEN YEAR BOND SERIES 284 (JPY) 1.70 12/20/2016 5,436,587 650,000,000 JAPAN GOVERNMENT TEN YEAR BOND SERIES 285 (JPY) 1.70 03/20/2017 7,345,084 140,000,000 JAPAN GOVERNMENT TEN YEAR BOND SERIES 289 (JPY) 1.50 12/20/2017 1,554,242 500,000,000 JAPAN GOVERNMENT TEN YEAR BOND SERIES 293 (JPY) 1.80 06/20/2018 5,660,392 50,000,000 JAPAN GOVERNMENT TEN YEAR BOND SERIES 298 (JPY) 1.30 12/20/2018 540,478 300,000,000 JAPAN GOVERNMENT TEN YEAR BOND SERIES 299 (JPY) 1.30 03/20/2019 3,238,933 50,000,000 JAPAN GOVERNMENT TEN YEAR BOND SERIES 301 (JPY) 1.50 06/20/2019 546,966 150,000,000 JAPAN GOVERNMENT TEN YEAR BOND SERIES 302 (JPY) 1.40 06/20/2019 1,626,126 140,000,000 JAPAN GOVERNMENT THIRTY YEAR BOND SERIES 18 (JPY) 2.30 03/20/2035 1,522,795 190,000,000 JAPAN GOVERNMENT THIRTY YEAR BOND SERIES 25 (JPY) 2.30 12/20/2036 2,067,998 60,000,000 JAPAN GOVERNMENT THIRTY YEAR BOND SERIES 26 (JPY) 2.40 03/20/2037 668,786 20,000,000 JAPAN GOVERNMENT THIRTY YEAR BOND SERIES 27 (JPY) 2.50 09/20/2037 227,342 100,000,000 JAPAN GOVERNMENT THIRTY YEAR BOND SERIES 28 (JPY) 2.50 03/20/2038 1,134,471 200,000,000 JAPAN GOVERNMENT THIRTY YEAR BOND SERIES 3 (JPY) 2.30 05/20/2030 2,192,731 120,000,000 JAPAN GOVERNMENT TWENTY YEAR BOND SERIES 105 (JPY) 2.10 09/20/2028 1,297,029 180,000,000 JAPAN GOVERNMENT TWENTY YEAR BOND SERIES 112 (JPY) 2.10 06/20/2029 1,938,967 300,000,000 JAPAN GOVERNMENT TWENTY YEAR BOND SERIES 30 (JPY) 3.70 09/21/2015 3,721,831 600,000,000 JAPAN GOVERNMENT TWENTY YEAR BOND SERIES 41 (JPY) 1.50 03/20/2019 6,581,842 135,000,000 JAPAN GOVERNMENT TWENTY YEAR BOND SERIES 70 (JPY) 2.40 06/20/2024 1,544,156 230,000,000 JAPAN GOVERNMENT TWENTY YEAR BOND SERIES 73 (JPY) 2.00 12/20/2024 2,495,459 150,000,000 JAPAN GOVERNMENT TWENTY YEAR BOND SERIES 90 (JPY) 2.20 09/20/2026 1,666,860 230,000,000 JAPAN GOVERNMENT TWENTY YEAR BOND SERIES 92 (JPY) 2.10 12/20/2026 2,511,783 520,000,000 JAPAN GOVERNMENT TWENTY YEAR BOND SERIES 93 (JPY) 2.00 03/20/2027 5,618,576 500,000,000 JAPAN GOVERNMENT TWO YEAR BOND SERIES 282 (JPY) 0.30 07/15/2011 5,380,521 2,200,000 NETHERLANDS GOVERNMENT BOND (EUR) 2.75 01/15/2015 3,146,539 1,500,000 NETHERLANDS GOVERNMENT BOND (EUR) 3.75 07/15/2014 2,259,827 850,000 NETHERLANDS GOVERNMENT BOND (EUR) 4.00 07/15/2016 1,286,564 453,000 NETHERLANDS GOVERNMENT BOND (EUR) 4.00 01/15/2037 641,327 410,000 NETHERLANDS GOVERNMENT BOND (EUR) 5.50 01/15/2028 695,097 85,000 NETHERLANDS GOVERNMENT BOND (EUR) 7.50 01/15/2023 168,472 350,000 SPAIN GOVERNMENT BOND (EUR) 4.20 01/31/2037 481,046 752,000 SPAIN GOVERNMENT BOND (EUR) 4.40 01/31/2015 1,161,021 1,050,000 SPAIN GOVERNMENT BOND (EUR) 5.00 07/30/2012 1,630,500 2,000,000 SPAIN GOVERNMENT BOND (EUR) 5.35 10/31/2011 3,092,841 1,100,000 SPAIN GOVERNMENT BOND (EUR) 5.50 07/30/2017 1,801,452 1,250,000 SPAIN GOVERNMENT BOND (EUR) 5.75 07/30/2032 2,121,921 650,000 SPAIN GOVERNMENT BOND (EUR) 6.15 01/31/2013 1,050,004 3,300,000 SWEDEN GOVERNMENT BOND SERIES 1041 (SEK) 6.75 05/05/2014 544,989 1,520,000 SWEDEN GOVERNMENT BOND SERIES 1045 (SEK) 5.25 03/15/2011 227,302 1,640,000 SWEDEN GOVERNMENT BOND SERIES 1047 (SEK) 5.00 12/01/2020 263,287 3,500,000 SWEDEN GOVERNMENT BOND SERIES 1050 (SEK) 3.00 07/12/2016 488,504 4,000,000 SWEDEN GOVERNMENT BOND SERIES 1052 (SEK) 4.25 03/12/2019 604,143 1,000,000 UNITED KINGDOM GILT (GBP) 2.25 03/07/2014 1,603,204 1,000,000 UNITED KINGDOM GILT (GBP) 3.75 09/07/2019 816,864 1,000,000 UNITED KINGDOM GILT (GBP)) 4.25 12/07/2049 584,938 1,000,000 UNITED KINGDOM GILT (GBP) 4.75 12/07/2030 1,352,581 1,000,000 UNITED KINGDOM GILT (GBP) 3.25 12/07/2011 1,690,755 1,000,000 UNITED KINGDOM GILT (GBP) 4.00 09/07/2016 1,734,319 86 Wells Fargo Advantage Master Portfolios Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED FIXED INCOME PORTFOLIO PRINCIPAL SECURITY NAME INTEREST RATE MATURITY DATE VALUE - --------------- ------------- --------------- ------------- -------------- FOREIGN GOVERNMENT BONDS (CONTINUED) $ 1,050,000 UNITED KINGDOM GILT (GBP) 4.25% 06/07/2032 $ 1,774,387 500,000 UNITED KINGDOM GILT (GBP) 4.25 09/07/2039 824,638 1,600,000 UNITED KINGDOM GILT (GBP) 4.25 12/07/2046 2,669,446 800,000 UNITED KINGDOM GILT (GBP) 4.50 03/07/2013 1,400,896 1,000,000 UNITED KINGDOM GILT (GBP) 4.50 03/07/2019 1,750,452 575,000 UNITED KINGDOM GILT (GBP) 4.75 09/07/2015 1,040,312 500,000 UNITED KINGDOM GILT (GBP) 4.75 03/07/2020 892,279 1,100,000 UNITED KINGDOM GILT (GBP) 4.75 12/07/2038 1,978,414 750,000 UNITED KINGDOM GILT (GBP) 5.00 03/07/2012 1,317,454 585,000 UNITED KINGDOM GILT (GBP) 5.00 09/07/2014 1,059,394 2,000,000 UNITED KINGDOM GILT (GBP) 5.00 03/07/2018 3,672,816 1,300,000 UNITED KINGDOM GILT (GBP) 6.00 12/07/2028 2,734,726 1,000,000 UNITED KINGDOM GILT (GBP) 6.25 11/25/2010 1,740,440 200,000 UNITED KINGDOM GILT (GBP) 8.75 08/25/2017 451,922 TOTAL FOREIGN GOVERNMENT BONDS (COST $297,245,915) 327,925,576 -------------- AGENCY NOTES - INTEREST BEARING: 5.16% FEDERAL FARM CREDIT BANK: 0.05% 600,000 FFCB 2.63 04/17/2014 597,800 -------------- FEDERAL HOME LOAN BANK: 0.90% 1,500,000 FHLB 3.38 02/27/2013 1,565,196 1,000,000 FHLB 4.88 09/08/2017 1,062,780 1,000,000 FHLB 5.00 11/17/2017 1,081,979 100,000 FHLB<< 5.13 08/14/2013 110,588 1,200,000 FHLB 5.38 08/19/2011 1,296,590 100,000 FHLB 5.38 09/30/2022 112,205 100,000 FHLB 5.50 10/19/2016 100,641 800,000 FHLB SERIES 363<< 4.50 11/15/2012 863,175 400,000 FHLB SERIES 467 5.25 06/18/2014 446,418 250,000 FHLB SERIES 656 5.38 05/18/2016 279,727 12,029,334 -------------- FEDERAL HOME LOAN MORTGAGE CORPORATION: 2.31% 600,000 FHLMC<< 1.38 05/16/2011 604,621 2,500,000 FHLMC 1.63 07/27/2011 2,522,138 300,000 FHLMC 1.88 06/20/2012 301,327 600,000 FHLMC<< 2.00 04/27/2012 603,031 250,000 FHLMC 2.00 06/15/2012 250,735 500,000 FHLMC 2.50 04/08/2013 502,309 800,000 FHLMC<< 2.50 01/07/2014 801,354 2,850,000 FHLMC<< 2.50 04/23/2014 2,841,245 1,000,000 FHLMC 3.00 07/28/2014 1,014,548 3,000,000 FHLMC 3.25 02/25/2011 3,103,506 3,000,000 FHLMC 3.63 09/16/2011 3,152,208 2,000,000 FHLMC<< 3.75 06/28/2013 2,116,184 900,000 FHLMC 3.75 03/27/2019 894,479 1,000,000 FHLMC 4.13 10/18/2010 1,039,791 2,000,000 FHLMC 4.75 11/17/2015 2,167,410 700,000 FHLMC 4.88 06/13/2018 758,997 1,000,000 FHLMC<< 5.13 04/18/2011 1,067,724 1,200,000 FHLMC 5.13 07/15/2012 1,314,253 650,000 FHLMC 5.25 04/18/2016 719,266 Wells Fargo Advantage Master Portfolios 87 Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED FIXED INCOME PORTFOLIO PRINCIPAL SECURITY NAME INTEREST RATE MATURITY DATE VALUE - --------------- ------------- --------------- ------------- -------------- FEDERAL HOME LOAN MORTGAGE CORPORATION (continued) $ 1,500,000 FHLMC 5.50% 08/13/2014 $ 1,691,918 650,000 FHLMC 5.50 07/18/2016 731,372 250,000 FHLMC 5.50 07/15/2036 265,909 150,000 FHLMC 5.55 10/04/2016 159,702 1,000,000 FHLMC 6.00 06/15/2011 1,088,498 100,000 FHLMC 6.00 10/20/2021 100,158 1,000,000 FHLMC 6.00 04/16/2037 1,004,357 200,000 FHLMC 6.25 07/15/2032 240,654 300,000 FHLMC 6.75 03/15/2031 380,099 3,700,000 FHLMC 6.88 09/15/2010 3,942,450 450,000 FHMLC 1.75 06/15/2012 450,395 30,720,603 -------------- FEDERAL NATIONAL MORTGAGE ASSOCIATION: 1.90% 3,325,000 FNMA 1.38 04/28/2011 3,346,860 500,000 FNMA<< 1.75 04/15/2011 502,977 3,000,000 FNMA<< 1.75 08/10/2012 3,001,584 350,000 FNMA 1.88 04/20/2012 353,170 750,000 FNMA 2.00 04/01/2011 756,246 250,000 FNMA 2.15 04/13/2012 251,236 2,500,000 FNMA<< 2.50 05/15/2014 2,486,188 1,000,000 FNMA 3.63 08/15/2011 1,050,594 1,500,000 FNMA<< 4.38 09/15/2012 1,610,259 3,500,000 FNMA 4.38 03/15/2013 3,785,740 950,000 FNMA<< 4.88 12/15/2016 1,031,658 500,000 FNMA 5.00 02/13/2017 548,018 1,200,000 FNMA<< 5.00 05/11/2017 1,314,426 1,200,000 FNMA 5.25 08/01/2012 1,282,598 1,000,000 FNMA 5.38 04/11/2022 1,050,515 200,000 FNMA 5.45 10/18/2021 215,681 75,000 FNMA 5.63 11/15/2021 79,787 150,000 FNMA 5.63 07/15/2037 162,846 200,000 FNMA 6.21 08/06/2038 232,393 300,000 FNMA 6.63 11/15/2030 376,868 1,300,000 FNMA<< 7.25 05/15/2030 1,740,449 50,000 FNMA SERIES 1 5.50 11/17/2016 50,487 25,230,580 -------------- TOTAL AGENCY NOTES - INTEREST BEARING (COST $66,499,249) 68,578,317 -------------- AGENCY SECURITIES: 25.89% FEDERAL HOME LOAN MORTGAGE CORPORATION: 8.58% 1,000,000 FHLMC%% 4.00 09/01/2024 1,009,062 2,000,000 FHLMC%% 4.00 09/01/2039 1,953,124 2,000,000 FHLMC%% 4.50 09/01/2024 2,055,000 6,000,000 FHLMC%% 4.50 09/01/2039 6,028,128 800,000 FHLMC 4.88 11/15/2013 879,154 2,000,000 FHLMC%% 5.00 09/01/2021 2,082,500 3,000,000 FHLMC%% 5.00 09/01/2039 3,079,686 2,500,000 FHLMC%% 5.50 09/01/2037 2,604,688 2,862,939 FHLMC #1J1139+/- 4.74 06/01/2038 2,984,520 925,520 FHLMC #1J1368+/- 5.82 10/01/2036 975,743 2,931,906 FHLMC #1Q0612+/- 5.50 08/01/2038 3,071,999 543,822 FHLMC #783191+/- 5.66 04/01/2037 569,741 5,506,272 FHLMC #A11964 5.00 08/01/2033 5,684,043 88 Wells Fargo Advantage Master Portfolios Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED FIXED INCOME PORTFOLIO PRINCIPAL SECURITY NAME INTEREST RATE MATURITY DATE VALUE - --------------- ------------- --------------- ------------- -------------- FEDERAL HOME LOAN MORTGAGE CORPORATION (continued) $ 1,132,166 FHLMC #A15183 6.00% 11/01/2033 $ 1,201,799 933,823 FHLMC #A15966 5.00 11/01/2033 963,972 1,205,902 FHLMC #A16693 5.50 12/01/2033 1,263,488 955,126 FHLMC #A19717 5.00 03/01/2034 985,216 1,888,795 FHLMC #A24888 6.00 07/01/2034 2,002,603 2,068,817 FHLMC #A29757 5.50 01/01/2035 2,164,378 1,436,152 FHLMC #A35253 5.50 06/01/2035 1,502,490 2,847,695 FHLMC #A35743 5.00 07/01/2035 2,934,739 970,108 FHLMC #A36541 5.00 08/01/2035 999,761 1,144,484 FHLMC #A41694 5.50 01/01/2036 1,197,350 2,802,399 FHLMC #A43030 6.00 02/01/2036 2,961,621 2,489,087 FHLMC #A47041 5.00 09/01/2035 2,565,169 650,518 FHLMC #A54804 6.50 06/01/2036 693,551 773,793 FHLMC #A55537 5.00 12/01/2036 796,357 1,439,383 FHLMC #A56988 5.50 02/01/2037 1,502,046 2,362,133 FHLMC #A58420 5.50 03/01/2037 2,464,969 945,837 FHLMC #A75076 6.50 03/01/2038 1,008,205 764,372 FHLMC #A80659 5.00 02/01/2037 786,661 1,232,391 FHLMC #A80882 6.00 08/01/2038 1,299,838 2,623,529 FHLMC #A80985 6.00 08/01/2038 2,767,112 839,882 FHLMC #A81606 6.00 09/01/2038 885,848 993,508 FHLMC #A86314 4.00 05/01/2039 971,580 498,596 FHLMC #A86755 4.00 06/01/2039 487,591 7,960,467 FHLMC #A86951 4.50 06/01/2039 8,009,753 645,203 FHLMC #C03063 6.50 10/01/2037 687,748 3,723,393 FHLMC #E01425 4.50 08/01/2018 3,905,203 5,651 FHLMC #E63170 6.00 03/01/2011 6,009 362,835 FHLMC #E95352 4.50 04/01/2018 380,713 1,439,710 FHLMC #G01740 5.50 12/01/2034 1,507,562 1,018,086 FHLMC #G02074 5.50 02/01/2036 1,065,113 429,054 FHLMC #G02184 5.00 04/01/2036 442,168 1,117,496 FHLMC #G02386 6.00 11/01/2036 1,180,988 448,592 FHLMC #G02422 6.00 12/01/2036 474,080 1,771,621 FHLMC #G02478 5.50 12/01/2036 1,849,580 740,482 FHLMC #G03303 4.50 09/01/2035 746,455 4,027,677 FHLMC #G03616 6.00 12/01/2037 4,251,481 817,408 FHLMC #G04173 6.50 12/01/2037 871,308 1,743,233 FHLMC #G04378 6.50 03/01/2038 1,858,181 2,326,921 FHLMC #G04385 5.50 07/01/2038 2,428,093 3,174,866 FHLMC #G04448 5.50 07/01/2038 3,312,906 250,859 FHLMC #G05204 6.00 01/01/2036 266,288 411,405 FHLMC #G08190 4.50 01/01/2037 413,993 335,043 FHLMC #G08192 5.50 04/01/2037 349,630 777,018 FHLMC #G11950 4.50 10/01/2018 815,302 296,933 FHLMC #G12697 5.50 05/01/2022 312,670 38,111 FHLMC #G12741 6.00 08/01/2022 40,536 691,385 FHLMC #G13032 6.00 09/01/2022 735,375 1,446,396 FHLMC #G13151 6.00 03/01/2023 1,538,423 441,657 FHLMC #G13223 4.00 05/01/2023 446,579 571,531 FHLMC #G18274 6.00 09/01/2023 607,862 718,733 FHLMC #G18280 5.50 11/01/2023 756,786 1,000,000 FHLMC #G18320 4.00 08/01/2024 1,010,833 8,825 FHLMC #J02886 6.00 06/01/2021 9,387 699,554 FHLMC #J04533 6.00 03/01/2022 744,024 13,875 FHLMC #J04871 6.00 05/01/2022 14,757 411,082 FHLMC #J05191 6.00 07/01/2022 437,214 Wells Fargo Advantage Master Portfolios 89 Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED FIXED INCOME PORTFOLIO PRINCIPAL SECURITY NAME INTEREST RATE MATURITY DATE VALUE - --------------- ------------- --------------- ------------- -------------- FEDERAL HOME LOAN MORTGAGE CORPORATION (continued) $ 30,328 FHLMC #J05194 5.00% 07/01/2022 $ 31,656 239,955 FHLMC #J05195 5.00 07/01/2022 251,061 713,954 FHLMC #J05228 5.00 07/01/2022 745,212 295,533 FHLMC #J05243 5.00 07/01/2022 308,472 254,905 FHLMC #J05408 5.00 08/01/2022 266,065 410,379 FHLMC #J05455 5.00 09/01/2022 428,346 602,043 FHLMC #J08096 5.00 06/01/2023 627,897 61,240 FHLMC #J08112 5.00 06/01/2023 63,870 63,698 FHLMC #J08719 5.00 10/01/2023 66,434 2,312,912 FHLMC #Z40003 6.00 11/01/2036 2,436,561 114,086,306 -------------- FEDERAL NATIONAL MORTGAGE ASSOCIATION: 13.75% 2,000,000 FNMA%% 4.00 09/01/2024 2,019,376 300,000 FNMA## 4.32 06/01/2017 215,347 2,000,000 FNMA%% 4.50 09/01/2023 2,056,250 4,500,000 FNMA%% 4.50 09/01/2039 4,523,904 600,000 FNMA<< 4.63 10/15/2013 653,250 1,500,000 FNMA<< 5.00 10/15/2011 1,623,105 7,000,000 FNMA%% 5.00 09/01/2036 7,183,750 7,000,000 FNMA%% 5.50 09/01/2037 7,286,566 200,000 FNMA## 5.96 10/09/2019 110,464 1,000,000 FNMA 6.00 05/15/2011 1,084,869 4,000,000 FNMA%% 6.00 09/01/2036 4,208,752 700,000 FNMA 6.13 03/15/2012 781,171 3,750,000 FNMA%% 6.50 09/01/2036 4,010,156 500,000 FNMA 7.13 01/15/2030 659,882 478,579 FNMA #190360 5.00 08/01/2035 493,058 5,002,814 FNMA #190396 4.50 06/01/2039 5,036,916 950,584 FNMA #254950 5.50 11/01/2033 995,681 508,552 FNMA #255407 5.00 09/01/2024 530,712 520,498 FNMA #255857 5.50 08/01/2025 549,105 468,570 FNMA #256702 4.50 03/01/2022 483,457 221,485 FNMA #256758 4.50 05/01/2022 228,383 459,203 FNMA #256851 7.00 08/01/2037 499,385 266,940 FNMA #535733 6.50 08/01/2015 285,398 817,467 FNMA #545414 5.50 01/01/2017 870,372 633,041 FNMA #725690 6.00 08/01/2034 670,590 429,075 FNMA #725773 5.50 09/01/2034 449,029 1,138,511 FNMA #729333 5.50 07/01/2033 1,192,523 753,961 FNMA #745627+/- 5.50 04/01/2036 790,585 151,328 FNMA #753669 6.00 11/01/2033 160,635 1,563,430 FNMA #767097 4.00 06/01/2019 1,614,568 820,918 FNMA #775199+/- 4.27 05/01/2034 844,610 792,542 FNMA #776966 5.00 04/01/2034 817,262 2,431,337 FNMA #777075 5.00 04/01/2034 2,508,694 486,564 FNMA #779510 5.00 06/01/2019 513,340 2,631,158 FNMA #793607 5.00 09/01/2019 2,775,954 579,825 FNMA #793675 6.00 09/01/2034 614,218 612,004 FNMA #794514 5.00 10/01/2019 645,684 467,901 FNMA #795047 5.50 10/01/2034 489,660 525,754 FNMA #796334 6.00 10/01/2034 556,940 686,330 FNMA #804666 6.00 11/01/2034 727,041 1,892,345 FNMA #805412 5.50 01/01/2035 1,978,572 607,424 FNMA #811460 5.00 06/01/2020 638,573 425,319 FNMA #812338 6.00 03/01/2035 449,750 90 Wells Fargo Advantage Master Portfolios Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED FIXED INCOME PORTFOLIO PRINCIPAL SECURITY NAME INTEREST RATE MATURITY DATE VALUE - --------------- ------------- --------------- ------------- -------------- FEDERAL NATIONAL MORTGAGE ASSOCIATION (continued) $ 86,310 FNMA #821030 4.50% 05/01/2035 $ 87,114 161,903 FNMA #822651 4.50 04/01/2035 163,412 2,613,107 FNMA #824601 5.50 12/01/2034 2,734,626 3,877,509 FNMA #826590 5.00 06/01/2035 3,994,819 509,947 FNMA #828346 5.00 07/01/2035 525,375 147,590 FNMA #828698 5.00 07/01/2035 152,055 547,192 FNMA #829190 5.00 07/01/2035 563,747 537,605 FNMA #830957 5.50 08/01/2035 562,102 494,488 FNMA #831406 6.00 03/01/2036 522,119 796,194 FNMA #831625 7.00 06/01/2036 866,965 882,853 FNMA #831697 6.00 09/01/2036 932,186 42,879 FNMA #832199 4.50 07/01/2035 43,278 1,207,362 FNMA #834657 5.50 08/01/2035 1,262,377 2,092,251 FNMA #835284 5.50 09/01/2035 2,187,587 2,591,893 FNMA #835331 5.50 08/01/2035 2,709,996 310,581 FNMA #836068 4.50 10/01/2020 323,166 489,666 FNMA #836958 4.50 10/01/2035 494,228 2,519,534 FNMA #839064 6.00 01/01/2036 2,664,260 1,189,169 FNMA #843901 4.50 09/01/2035 1,200,248 4,335,377 FNMA #844158 5.00 11/01/2035 4,466,539 4,432,290 FNMA #844703 5.50 12/01/2035 4,634,253 192,700 FNMA #845782 4.50 10/01/2020 200,508 393,432 FNMA #847926 4.50 12/01/2020 409,374 1,120,670 FNMA #851264 5.50 05/01/2021 1,183,042 3,796,108 FNMA #865283 5.50 02/01/2036 3,963,152 1,219,418 FNMA #868424+/- 5.76 03/01/2036 1,284,301 471,135 FNMA #878198 5.50 09/01/2036 491,867 1,369,104 FNMA #879094+/- 5.33 05/01/2036 1,434,411 894,270 FNMA #885593 6.00 09/01/2036 944,241 681,662 FNMA #888221 5.50 03/01/2037 711,658 3,415,810 FNMA #888645 5.00 08/01/2037 3,511,680 548,527 FNMA #888815 4.50 11/01/2022 565,955 2,099,495 FNMA #895995 6.50 07/01/2036 2,250,191 894,593 FNMA #897130 6.50 09/01/2036 958,804 2,227,034 FNMA #902738 5.00 11/01/2036 2,291,626 174,593 FNMA #904767+/- 5.52 12/01/2036 183,708 2,402,968 FNMA #907051+/- 5.62 10/01/2037 2,526,264 491,770 FNMA #907860+/- 5.54 02/01/2037 516,172 417,506 FNMA #908182 5.50 12/01/2021 440,742 1,262,539 FNMA #908249 6.50 12/01/2036 1,353,161 739,093 FNMA #909855 5.50 02/01/2037 770,808 827,387 FNMA #910093+/- 5.75 03/01/2037 872,248 191,224 FNMA #910535+/- 5.56 01/01/2037 201,322 381,792 FNMA #914224+/- 5.45 03/01/2037 400,888 374,882 FNMA #915356 4.50 05/01/2023 386,265 668,835 FNMA #917101 5.00 05/01/2037 687,607 1,561,369 FNMA #917882 5.00 05/01/2037 1,605,191 459,129 FNMA #918049 6.50 05/01/2037 491,869 1,557,054 FNMA #918506 5.50 05/01/2037 1,623,867 1,140,166 FNMA #918619 5.50 06/01/2037 1,189,091 3,077,406 FNMA #919640 6.00 09/01/2037 3,245,522 975,976 FNMA #922675+/- 4.81 06/01/2035 1,012,212 1,048,490 FNMA #928414 6.50 06/01/2037 1,123,256 738,435 FNMA #928433 7.00 05/01/2037 803,051 432,760 FNMA #928507 6.50 06/01/2037 463,619 2,490,320 FNMA #929723 6.00 07/01/2038 2,624,277 Wells Fargo Advantage Master Portfolios 91 Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED FIXED INCOME PORTFOLIO PRINCIPAL SECURITY NAME INTEREST RATE MATURITY DATE VALUE - --------------- ------------- --------------- ------------- -------------- FEDERAL NATIONAL MORTGAGE ASSOCIATION (continued) $ 1,508,491 FNMA #929953 5.50% 09/01/2038 $ 1,572,665 1,061,723 FNMA #931011 5.00 04/01/2024 1,108,870 1,478,307 FNMA #933465 5.50 02/01/2038 1,541,742 4,047,319 FNMA #941164 6.00 10/01/2037 4,268,420 723,153 FNMA #945074 7.00 08/01/2037 786,432 521,748 FNMA #949594 6.00 08/01/2022 555,434 915,819 FNMA #950300 6.00 08/01/2037 968,425 232,530 FNMA #952033 4.50 05/01/2023 239,591 27,072 FNMA #953017 6.00 10/01/2037 28,551 925,547 FNMA #955801 6.00 10/01/2037 976,109 3,820,809 FNMA #962302 4.50 03/01/2038 3,847,235 816,804 FNMA #964241 6.00 07/01/2038 860,741 31,751 FNMA #964924 6.00 09/01/2038 33,459 611,567 FNMA #965308 6.00 09/01/2038 644,464 805,285 FNMA #966039 5.50 02/01/2038 839,840 997,909 FNMA #972172 6.00 02/01/2038 1,051,588 1,826,081 FNMA #973827 4.50 03/01/2023 1,882,956 932,640 FNMA #974571 5.00 11/01/2036 961,731 576,170 FNMA #974886+/- 4.37 04/01/2038 590,439 328,908 FNMA #975288 4.50 05/01/2023 338,895 830,674 FNMA #979639 5.00 06/01/2023 867,125 985,539 FNMA #982876 5.00 05/01/2023 1,028,785 127,812 FNMA #983518 4.50 05/01/2023 131,693 829,682 FNMA #984260 5.50 05/01/2023 874,433 498,504 FNMA #985509 6.00 09/01/2038 525,319 613,133 FNMA #987128 6.00 09/01/2038 646,114 18,182 FNMA #992042 7.00 10/01/2038 19,773 895,145 FNMA #994436 6.00 12/01/2038 943,296 4,352,612 FNMA #994897 5.50 09/01/2033 4,559,786 964,140 FNMA #A82829 6.00 11/01/2038 1,016,906 951,036 FNMA #AA1090 4.50 12/01/2023 979,914 484,754 FNMA #AA3078 4.50 02/01/2039 488,107 2,982,480 FNMA #AA3295 4.00 02/01/2039 2,920,383 1,187,219 FNMA #AA7895 4.00 06/01/2024 1,200,822 1,369,143 FNMA #AC1928 4.00 08/01/2039 1,340,637 3,630,859 FNMA #AC2181 4.00 08/01/2039 3,555,263 182,835,882 -------------- GOVERNMENT NATIONAL MORTGAGE ASSOCIATION: 3.56% 1,000,000 GNMA%% 4.00 09/01/2039 977,812 1,500,000 GNMA%% 4.50 09/01/2039 1,512,188 8,750,000 GNMA%% 5.00 09/01/2036 9,004,293 2,000,000 GNMA%% 5.50 09/01/2036 2,088,750 1,000,000 GNMA%% 6.00 09/01/2036 1,054,062 1,680 GNMA #337120 6.50 11/15/2023 1,790 1,911 GNMA #379192 6.50 12/15/2023 2,036 1,665,546 GNMA #520782<< 5.00 03/15/2035 1,722,214 986,648 GNMA #605373 5.50 09/15/2034 1,036,250 121,330 GNMA #617417 6.50 02/15/2037 129,245 839,139 GNMA #617522 6.00 05/15/2037 886,357 152,800 GNMA #625436 6.50 09/15/2036 162,840 654,591 GNMA #632007 6.50 10/15/2036 697,600 1,324,462 GNMA #633305<< 5.50 12/15/2035 1,390,633 1,016,457 GNMA #648391 5.50 11/15/2035 1,067,240 803,646 GNMA #651722 5.50 02/15/2036 842,541 544,892 GNMA #651882 6.50 09/15/2036 580,693 92 Wells Fargo Advantage Master Portfolios Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED FIXED INCOME PORTFOLIO PRINCIPAL SECURITY NAME INTEREST RATE MATURITY DATE VALUE - --------------- ------------- --------------- ------------- -------------- GOVERNMENT NATIONAL MORTGAGE ASSOCIATION (continued) $ 678,957 GNMA #653068 5.50% 03/15/2036 $ 711,817 725,938 GNMA #654920 6.00 06/15/2036 767,354 181,143 GNMA #658328 4.50 03/15/2037 183,052 31,434 GNMA #659749 6.50 11/15/2036 33,499 178,567 GNMA #663342 6.50 12/15/2036 190,299 101,829 GNMA #664629 7.00 03/15/2037 110,479 143,034 GNMA #667470 6.00 05/15/2037 151,082 379,037 GNMA #668585 6.00 08/15/2037 400,365 507,986 GNMA #669078 6.00 06/15/2037 536,570 275,960 GNMA #671433 6.00 07/15/2037 291,488 385,120 GNMA #673220 6.00 10/15/2038 406,730 482,891 GNMA #677314 5.50 09/15/2038 505,507 621,647 GNMA #681332 6.50 05/15/2038 661,908 593,439 GNMA #683124 5.50 03/15/2038 621,233 52,781 GNMA #684230 6.50 08/15/2038 56,199 301,376 GNMA #693431 5.50 06/15/2038 315,491 315,159 GNMA #695746 6.00 11/15/2038 332,843 291,741 GNMA #696456 5.50 08/15/2038 305,405 1,000,000 GNMA #697595 6.50 11/15/2038 1,064,766 1,952,979 GNMA #698507 6.00 10/15/2038 2,062,567 931,968 GNMA #699457 6.00 10/15/2038 984,264 298,187 GNMA #706004 6.00 10/15/2038 314,919 2,500,002 GNMA #712488 4.50 06/15/2039 2,525,954 1,500,001 GNMA #712495 4.50 06/15/2039 1,515,572 3,242,590 GNMA #716792 4.50 04/15/2039 3,276,251 130,874 GNMA #782167 6.00 06/15/2037 138,321 3,023,750 GNMA #782273 5.50 02/15/2038 3,167,179 1,830,135 GNMA #782379 6.00 08/15/2038 1,934,314 589,808 GNMA #782407 5.50 09/15/2038 617,774 47,339,746 -------------- TOTAL AGENCY SECURITIES (COST $331,672,287) 344,261,934 -------------- US TREASURY SECURITIES: 17.93% US TREASURY BONDS: 4.20% 1,600,000 US TREASURY BOND<< 3.50 02/15/2039 1,413,501 1,500,000 US TREASURY BOND<< 4.25 05/15/2039 1,516,641 1,750,000 US TREASURY BOND<< 4.38 02/15/2038 1,804,961 1,150,000 US TREASURY BOND<< 4.50 02/15/2036 1,210,016 1,100,000 US TREASURY BOND<< 4.50 05/15/2038 1,158,438 1,150,000 US TREASURY BOND 4.50 08/15/2039 1,211,992 1,550,000 US TREASURY BOND<< 4.75 02/15/2037 1,694,102 2,000,000 US TREASURY BOND<< 5.25 02/15/2029 2,290,312 250,000 US TREASURY BOND<< 5.38 02/15/2031 292,461 2,500,000 US TREASURY BOND<< 5.50 08/15/2028 2,942,970 1,150,000 US TREASURY BOND<< 6.00 02/15/2026 1,410,906 1,500,000 US TREASURY BOND<< 6.25 08/15/2023 1,856,250 2,250,000 US TREASURY BOND<< 6.25 05/15/2030 2,904,611 2,400,000 US TREASURY BOND<< 6.38 08/15/2027 3,083,626 950,000 US TREASURY BOND 6.63 02/15/2027 1,245,984 1,500,000 US TREASURY BOND 6.88 08/15/2025 1,995,234 1,000,000 US TREASURY BOND<< 7.25 08/15/2022 1,332,812 2,000,000 US TREASURY BOND<< 7.50 11/15/2016 2,564,218 500,000 US TREASURY BOND 7.88 02/15/2021 687,188 1,100,000 US TREASURY BOND<< 8.00 11/15/2021 1,537,593 Wells Fargo Advantage Master Portfolios 93 Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED FIXED INCOME PORTFOLIO PRINCIPAL SECURITY NAME INTEREST RATE MATURITY DATE VALUE - --------------- ------------- --------------- ------------- -------------- US TREASURY BONDS (continued) $ 2,850,000 US TREASURY BOND<< 8.13% 08/15/2019 $ 3,935,673 1,700,000 US TREASURY BOND<< 8.50 02/15/2020 2,413,470 2,500,000 US TREASURY BOND<< 8.75 05/15/2017 3,437,890 2,900,000 US TREASURY BOND<< 8.75 08/15/2020 4,199,563 1,275,000 US TREASURY BOND 8.88 08/15/2017 1,772,648 1,200,000 US TREASURY BOND<< 8.88 02/15/2019 1,722,000 2,900,000 US TREASURY BOND<< 9.13 05/15/2018 4,168,750 55,803,810 -------------- US TREASURY NOTES: 13.73% 3,000,000 US TREASURY NOTE<< 0.88 12/31/2010 3,011,601 2,500,000 US TREASURY NOTE<< 0.88 03/31/2011 2,505,568 5,000,000 US TREASURY NOTE<< 0.88 04/30/2011 5,007,615 4,000,000 US TREASURY NOTE<< 0.88 05/31/2011 4,003,908 350,000 US TREASURY NOTE<< 1.00 07/31/2011 350,492 4,750,000 US TREASURY NOTE<< 1.13 06/30/2011 4,771,152 3,000,000 US TREASURY NOTE<< 1.25 11/30/2010 3,026,601 2,000,000 US TREASURY NOTE<< 1.38 02/15/2012 2,005,468 5,000,000 US TREASURY NOTE<< 1.38 04/15/2012 5,008,205 5,000,000 US TREASURY NOTE<< 1.38 05/15/2012 5,001,955 1,500,000 US TREASURY NOTE<< 1.50 10/31/2010 1,517,462 6,500,000 US TREASURY NOTE<< 1.50 12/31/2013 6,335,472 5,500,000 US TREASURY NOTE<< 1.75 11/15/2011 5,575,196 4,500,000 US TREASURY NOTE<< 1.75 01/31/2014 4,422,303 5,000,000 US TREASURY NOTE<< 1.75 03/31/2014 4,895,310 1,500,000 US TREASURY NOTE 1.88 02/28/2014 1,479,258 4,400,000 US TREASURY NOTE<< 1.88 04/30/2014 4,323,343 3,800,000 US TREASURY NOTE<< 2.00 11/30/2013 3,788,421 3,500,000 US TREASURY NOTE<< 2.25 05/31/2014 3,491,523 1,000,000 US TREASURY NOTE 2.38 08/31/2014 999,297 2,500,000 US TREASURY NOTE<< 2.63 06/30/2014 2,532,618 250,000 US TREASURY NOTE<< 2.63 07/31/2014 252,969 6,375,000 US TREASURY NOTE<< 2.75 10/31/2013 6,554,297 3,950,000 US TREASURY NOTE<< 2.75 02/15/2019 3,739,232 3,500,000 US TREASURY NOTE 3.00 08/31/2016 3,492,342 550,000 US TREASURY NOTE<< 3.13 04/30/2013 575,910 6,800,000 US TREASURY NOTE<< 3.13 09/30/2013 7,100,159 2,900,000 US TREASURY NOTE<< 3.13 05/15/2019 2,831,125 4,000,000 US TREASURY NOTE<< 3.25 05/31/2016 4,070,936 1,000,000 US TREASURY NOTE 3.25 06/30/2016 1,016,875 3,500,000 US TREASURY NOTE<< 3.38 06/30/2013 3,696,329 2,000,000 US TREASURY NOTE<< 3.50 05/31/2013 2,121,250 1,500,000 US TREASURY NOTE 3.50 02/15/2018 1,519,218 2,000,000 US TREASURY NOTE 3.63 08/15/2019 2,037,500 3,000,000 US TREASURY NOTE<< 3.75 11/15/2018 3,080,625 8,500,000 US TREASURY NOTE<< 3.88 10/31/2012 9,118,902 2,750,000 US TREASURY NOTE<< 3.88 02/15/2013 2,951,955 1,500,000 US TREASURY NOTE 3.88 05/15/2018 1,559,532 3,500,000 US TREASURY NOTE<< 4.00 02/15/2015 3,754,023 1,025,000 US TREASURY NOTE<< 4.00 08/15/2018 1,073,368 4,300,000 US TREASURY NOTE<< 4.25 01/15/2011 4,512,480 1,600,000 US TREASURY NOTE 4.25 08/15/2013 1,741,875 2,500,000 US TREASURY NOTE<< 4.25 11/15/2013 2,721,875 1,500,000 US TREASURY NOTE<< 4.25 08/15/2014 1,632,657 1,870,000 US TREASURY NOTE<< 4.25 11/15/2014 2,034,063 94 Wells Fargo Advantage Master Portfolios Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED FIXED INCOME PORTFOLIO PRINCIPAL SECURITY NAME INTEREST RATE MATURITY DATE VALUE - --------------- ------------- --------------- ------------- -------------- US TREASURY NOTES (continued) $ 5,000,000 US TREASURY NOTE 4.38% 12/15/2010 $ 5,246,290 3,800,000 US TREASURY NOTE<< 4.50 04/30/2012 4,114,389 2,000,000 US TREASURY NOTE<< 4.50 05/15/2017 2,180,782 3,000,000 US TREASURY NOTE<< 4.63 10/31/2011 3,226,641 3,000,000 US TREASURY NOTE 4.63 02/29/2012 3,249,609 6,000,000 US TREASURY NOTE<< 4.63 07/31/2012 6,548,436 2,500,000 US TREASURY NOTE<< 4.75 03/31/2011 2,657,618 2,000,000 US TREASURY NOTE<< 4.75 05/15/2014 2,222,344 2,500,000 US TREASURY NOTE<< 5.00 08/15/2011 2,697,460 3,000,000 US TREASURY NOTE<< 5.13 06/30/2011 3,231,093 182,616,927 -------------- TOTAL US TREASURY SECURITIES (COST $233,331,653) 238,420,737 -------------- SHARES - --------------- COLLATERAL FOR SECURITIES LENDING: 18.31% COLLATERAL INVESTED IN MONEY MARKET FUNDS: 3.38% 11,239,556 AIM STIT-LIQUID ASSETS PORTFOLIO 11,239,556 11,239,556 BLACKROCK LIQUIDITY FUNDS TEMPFUND PORTFOLIO 11,239,556 11,239,556 DREYFUS CASH MANAGEMENT FUND INSTITUTIONAL 11,239,556 11,239,556 DWS MONEY MARKET SERIES INSTITUTIONAL 11,239,556 44,958,224 -------------- PRINCIPAL - --------------- COLLATERAL INVESTED IN OTHER ASSETS: 14.93% $ 4,200,642 ABN AMRO BANK NV (CHICAGO) 0.26 09/18/2009 4,200,642 4,410,674 ALLIED IRISH BANKS NORTH AMERICA INCORPORATED++ 0.45 09/08/2009 4,410,288 3,405,926 AMSTEL FUNDING CORPORATION++(p) 1.78 09/22/2009 3,402,390 1,702,963 ANTALIS US FUNDING CORPORATION++(p) 0.27 09/30/2009 1,702,593 2,838,272 ANTALIS US FUNDING CORPORATION++(p) 0.28 09/08/2009 2,838,117 999,072 ARABELLA FINANCE LLC++(p) 0.40 09/01/2009 999,072 340,593 ARABELLA FINANCE LLC++(p) 0.71 09/04/2009 340,572 7,720,099 BANK OF AMERICA REPURCHASE AGREEMENT - 102% COLLATERALIZED BY MORTGAGE BACKED SECURITIES (MATURITY VALUE $7,720,146) 0.22 09/01/2009 7,720,099 1,958,407 BANK OF IRELAND 0.35 09/01/2009 1,958,407 2,384,148 BANK OF IRELAND 0.60 09/04/2009 2,384,148 5,188,361 BARCLAY CAPITAL INCORPORATED REPURCHASE AGREEMENT - 102% COLLATERALIZED BY US TREASURY SECURITIES (MATURITY VALUE $5,188,393) 0.22 09/01/2009 5,188,361 4,512,852 BNP PARIBAS (PARIS) 0.19 09/01/2009 4,512,852 3,973,580 BRYANT BANK FUNDING LLC++(p) 0.25 09/02/2009 3,973,553 124,884 CALCASIEU PARISH LA+/-ss 0.50 12/01/2027 124,884 3,519,457 CALIFORNIA POLLUTION CONTROL FINANCING AUTHORITY+/-ss 0.14 11/01/2026 3,519,457 363,299 CALIFORNIA STATEWIDE COMMUNITIES DEVELOPMENT AUTHORITY+/-ss 0.45 06/01/2028 363,299 1,702,963 CALYON (NEW YORK) 0.40 09/03/2009 1,702,980 862,835 CALYON (NEW YORK) 3.33 09/10/2009 863,490 4,087,111 CANCARA ASSET SECURITIZATION LIMITED++(p) 0.30 09/08/2009 4,086,873 1,005,996 CHEYNE FINANCE LLC+++/-####(a)(i) 0.00 02/25/2008 16,599 301,141 COLORADO HOUSING & FINANCE AUTHORITY+/-ss 0.50 10/01/2038 301,141 567,654 COOK COUNTY IL+/-ss 0.70 11/01/2030 567,654 10,246,161 CREDIT SUISSE FIRST BOSTON REPURCHASE AGREEMENT - 102% COLLATERALIZED BY MORTGAGE BACKED SECURITIES (MATURITY VALUE $10,246,224) 0.22 09/01/2009 10,246,161 5,137,272 CREDIT SUISSE FIRST BOSTON REPURCHASE AGREEMENT - 102% COLLATERALIZED BY MORTGAGE BACKED SECURITIES (MATURITY VALUE $5,137,305) 0.23 09/01/2009 5,137,272 Wells Fargo Advantage Master Portfolios 95 Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED FIXED INCOME PORTFOLIO PRINCIPAL SECURITY NAME INTEREST RATE MATURITY DATE VALUE - --------------- ------------- --------------- ------------- -------------- COLLATERAL INVESTED IN OTHER ASSETS (continued) $ 4,654,766 DANSKE BANK A/S COPENHAGEN 0.22% 09/02/2009 $ 4,654,766 1,930,025 DENVER CO CITY & COUNTY SCHOOL DISTRICT+/-ss 0.80 12/15/2037 1,930,025 3,916,815 DEXIA BANK (GRAND CAYMAN) 0.21 09/01/2009 3,916,815 425,741 DEXIA DELAWARE LLC 0.26 09/01/2009 425,741 4,541,235 EKSPORTFINANS ASA++ 0.23 09/14/2009 4,540,858 2,838,272 ERASMUS CAPITAL CORPORATION++(p) 0.28 09/10/2009 2,838,073 1,731,800 FAIRWAY FINANCE CORPORATION++(p) 0.22 09/16/2009 1,731,641 3,973,580 GDF SUEZ++ 0.22 09/21/2009 3,973,095 3,994,016 GOLDMAN SACHS REPURCHASE AGREEMENT - 102% COLLATERALIZED BY MORTGAGE BACKED SECURITIES (MATURITY VALUE $3,994,040) 0.22 09/01/2009 3,994,016 1,702,963 GOTHAM FUNDING CORPORATION++(p) 0.23 09/14/2009 1,702,822 2,009,163 GRYPHON FUNDING LIMITED(a)(i) 0.00 08/23/2010 620,831 187,326 HENRICO COUNTY VA ECONOMIC DEVELOPMENT AUTHORITY+/-ss 0.65 11/01/2042 187,326 919,600 HOUSTON TX UTILITY SYSTEM+/-ss 0.30 05/15/2034 919,600 324,698 ILLINOIS EDUCATIONAL FACILITIES AUTHORITY REVENUES+/-ss 0.35 07/01/2029 324,698 227,062 INDIANA MUNI POWER AGENCY POWER SUPPLY SYSTEM+/-ss 0.37 01/01/2018 227,062 3,122,099 INTESA SANPAOLO SPA 0.35 09/10/2009 3,122,200 681,185 IRISH LIFE & PERMANENT PLC++ 0.54 09/04/2009 681,155 681,185 IRISH LIFE & PERMANENT PLC++ 0.54 09/08/2009 681,114 1,248,840 IRISH LIFE & PERMANENT PLC++ 0.58 09/01/2009 1,248,840 1,135,309 IRISH LIFE & PERMANENT PLC++ 0.58 09/03/2009 1,135,272 10,246,161 JPMORGAN CHASE REPURCHASE AGREEMENT - 102% COLLATERALIZED BY MORTGAGE BACKED SECURITIES (MATURITY VALUE $10,246,224) 0.22 09/01/2009 10,246,161 340,593 KANSAS CITY MO SPECIAL OBLIGATION+/-ss 0.37 04/15/2025 340,593 4,512,852 KBC BANK NV BRUSSELS 0.22 09/01/2009 4,512,852 1,702,963 KOCH RESOURCES LLC++ 0.22 09/15/2009 1,702,817 2,838,272 KOCH RESOURCES LLC++ 0.24 09/02/2009 2,838,253 2,838,272 MASSACHUSETTS HEFA+/-ss 0.30 10/01/2034 2,838,272 454,123 MISSISSIPPI STATE GO+/-ss 0.65 11/01/2028 454,123 329,240 MONTGOMERY COUNTY TN PUBLIC BUILDING+/-ss 0.14 02/01/2036 329,240 8,514,815 MORGAN STANLEY REPURCHASE AGREEMENT - 102% COLLATERALIZED BY US TREASURY SECURITIES (MATURITY VALUE $8,514,862) 0.20 09/01/2009 8,514,815 2,157,086 NATEXIS BANQUES POPULAIRES 0.24 09/01/2009 2,157,086 1,050,161 NATEXIS BANQUES POPULAIRES 0.24 09/04/2009 1,050,140 482,506 NATIONAL AUSTRALIA BANK+++/- 0.69 09/11/2009 482,571 1,021,778 NATIXIS++ 0.24 09/02/2009 1,021,771 227,062 NEW JERSEY STATE TURNPIKE AUTHORITY+/-ss 1.80 01/01/2018 227,062 555,734 NORTH DAKOTA HOUSING FINANCE AGENCY+/-ss 0.34 01/01/2034 555,734 4,541,235 RANGER FUNDING CORPORATION++(p) 0.22 09/21/2009 4,540,680 161,895 REGENCY MARKETS #1 LLC++(p) 0.23 09/15/2009 161,881 4,314,173 REGENCY MARKETS #1 LLC++(p) 0.25 09/17/2009 4,313,694 1,021,778 RHEIN-MAIN SECURITIZATION LIMITED++(p) 0.30 09/03/2009 1,021,761 1,021,778 RHEIN-MAIN SECURITIZATION LIMITED++(p) 0.40 09/10/2009 1,021,676 2,838,272 ROYAL BANK OF SCOTLAND CT 0.27 09/14/2009 2,838,272 3,973,580 SCALDIS CAPITAL LIMITED++(p) 0.31 09/16/2009 3,973,067 1,702,963 SOCIETE GENERALE BANNON LLC 0.24 09/15/2009 1,702,963 2,838,272 SOCIETE GENERALE NORTH AMERICA 0.24 09/10/2009 2,838,101 4,541,235 SOLITAIRE FUNDING LLC++(p) 0.29 09/17/2009 4,540,649 3,405,926 STARBIRD FUNDING CORPORATION++(p) 0.20 09/03/2009 3,405,888 1,135,309 STARBIRD FUNDING CORPORATION++(p) 0.25 09/03/2009 1,135,293 1,702,963 THAMES ASSET GLOBAL SECURITIZATION #1 INCORPORATED++(p) 0.26 09/10/2009 1,702,852 340,593 TICONDEROGA MASTER FUNDING LIMITED++(p) 0.25 09/11/2009 340,569 4,541,235 TULIP FUNDING CORPORATION++(p) 0.25 09/18/2009 4,540,699 749,304 TULSA COUNTY OK INDUSTRIAL AUTHORITY REVENUE+/-ss 0.16 07/01/2032 749,304 1,021,778 UBS AG (STAMFORD CT) 3.41 09/08/2009 1,022,405 3,973,580 UNICREDITO ITALIANO (NEW YORK) 0.32 09/08/2009 3,973,580 96 Wells Fargo Advantage Master Portfolios Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED FIXED INCOME PORTFOLIO PRINCIPAL SECURITY NAME INTEREST RATE MATURITY DATE VALUE - --------------- ------------- --------------- ------------- -------------- COLLATERAL INVESTED IN OTHER ASSETS (continued) $ 340,593 VERMONT STATE STUDENT ASSISTANCE CORPORATION+/-ss 0.34% 12/15/2040 $ 340,593 454,123 VERSAILLES CDS LLC++(p) 0.45 09/03/2009 454,112 227,062 VERSAILLES CDS LLC++(p) 0.45 09/04/2009 227,053 454,123 VERSAILLES CDS LLC++(p) 0.50 09/01/2009 454,123 454,123 VERSAILLES CDS LLC++(p) 0.50 09/02/2009 454,117 1,695,805 VICTORIA FINANCE LLC+++/-####(a)(i) 0.25 08/07/2008 780,070 1,689,666 VICTORIA FINANCE LLC+++/-####(a)(i) 0.28 05/02/2008 777,246 2,674,771 VICTORIA FINANCE LLC+++/-####(a)(i) 0.35 04/30/2008 1,230,395 3,349,161 WESTPAC SECURITIES NZ LIMITED++ 0.22 09/14/2009 3,348,890 198,578,277 -------------- TOTAL COLLATERAL FOR SECURITIES LENDING (COST $246,939,621) 243,536,501 -------------- SHARES YIELD - --------------- --------------- SHORT-TERM INVESTMENTS: 5.90% 78,451,523 WELLS FARGO ADVANTAGE MONEY MARKET TRUST~+++ 0.22 78,451,523 -------------- TOTAL SHORT-TERM INVESTMENTS (COST $78,451,523) 78,451,523 -------------- TOTAL INVESTMENTS IN SECURITIES (COST $1,567,522,786)* 122.67% $1,631,279,008 OTHER ASSETS AND LIABILITIES, NET (22.67) (301,519,057) ------ -------------- TOTAL NET ASSETS 100.00% $1,329,759,951 ------ -------------- - ---------- << All or a portion of this security is on loan. (See Note 2) ++ Securities that may be resold to "qualified institutional buyers" under rule 144A or securities offered pursuant to section 4(2) of the Securities Act of 1933, as amended. +/- Variable rate investments. (l) Long-term security of an affiliate of the Fund with a cost of $7,529,909. ss These securities are subject to a demand feature which reduces the effective maturity. @ Foreign bond principal is denominated in local currency. %% Securities issued on a when-issued (TBA) basis. (See Note 2) ## Zero coupon bond. Interest rate presented is yield to maturity. (p) Asset-backed commercial paper. #### This security is currently in default with regards to scheduled interest and/or principal payments. (a) Security fair valued in accordance with the procedures approved by the Board of Trustees. (i) Illiquid security. ~ This Wells Fargo Advantage Fund invests cash balances that it retains for liquidity purposes in a Wells Fargo Advantage Money Market Fund. The Wells Fargo Advantage Money Market Fund does not pay an investment advisory fee. +++ Short-term security of an affiliate of the Fund with a cost of $78,451,523. * Cost for federal income tax purposes is $1,568,382,714 and net unrealized appreciation (depreciation) consists of: Gross unrealized appreciation $67,159,342 Gross unrealized depreciation (4,263,048) ----------- Net unrealized appreciation $62,896,294 The accompanying notes are an integral part of these financial statements. Wells Fargo Advantage Master Portfolios 97 Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - --------------- ------------- -------------- COMMON STOCKS: 95.95% ADMINISTRATION OF ECONOMIC PROGRAMS: 0.03% 98,908 HINDUSTAN UNILEVER LIMITED $ 526,598 -------------- ADMINISTRATION OF ENVIRONMENTAL QUALITY & HOUSING PROGRAMS: 0.01% 4,900 KURITA WATER INDUSTRIES LIMITED 163,246 2,200 TOMRA SYSTEMS ASA 10,054 173,300 -------------- AEROSPACE, DEFENSE: 0.07% 61,922 BE AEROSPACE INCORPORATED+ 1,060,724 47,734 ROLLS ROYCE GROUP PLC 351,786 1,412,510 -------------- AGRICULTURAL CHEMICALS: 0.00% 2,000 NIHON NOHYAKU COMPANY LIMITED 16,572 -------------- AGRICULTURAL PRODUCTION CROPS: 0.03% 87,000 BISI INTERNATIONAL PT+ 17,909 38,441 CHIQUITA BRANDS INTERNATIONAL INCORPORATED+ 591,991 1,936 EBRO PULEVA SA 32,452 54,500 SINAR MAS AGRO RESOURCES & TECHNOLOGY TBK PT 17,572 659,924 -------------- AGRICULTURAL SERVICES: 0.19% 6,971 ABB GRAIN LIMITED 54,382 31,900 ASIATIC DEVELOPMENT BHD 53,446 45,000 ASTRA AGRO LESTARI TBK PT 95,982 5,345 AUSTRALIAN AGRICULTURAL COMPANY LIMITED 7,047 11,660 AWB LIMITED 12,812 313 BAYWA AG 10,724 87,776 CHAODA MODERN AGRICULTURE LIMITED 52,096 298,500 CHAROEN POKPHAND FOODS PCL 52,661 15,000 CHINA GREEN HOLDINGS LIMITED 15,754 20,236 COMPASS MINERALS INTERNATIONAL INCORPORATED 1,076,150 2,456 CRESUD SACIFYA 27,753 2,979 EGYPTIAN FINANCIAL & INDUSTRIAL COMPANY 13,135 264,046 GOLDEN AGRI-RESOURCES LIMITED 87,041 1,909 GRAIN CORPORATION LIMITED 12,617 900 HOKUTO CORPORATION 21,182 233,800 IOI CORPORATION BHD 339,264 36,500 KUALA LUMPUR KEPONG BHD 137,853 54,600 OLAM INTERNATIONAL LIMITED 93,214 1,400 SAKATA SEED CORPORATION 21,395 3,600 UNITED PLANTATIONS BHD 13,576 52,224 VCA ANTECH INCORPORATED+ 1,292,544 4,800 YARA INTERNATIONAL ASA 130,178 3,620,806 -------------- AIRPORT DEVELOPMENT, MAINTENANCE: 0.00% 52,544 AUCKLAND INTERNATIONAL AIRPORT LIMITED 62,381 -------------- AMUSEMENT & RECREATION SERVICES: 0.37% 20 ACCORDIA GOLF COMPANY LIMITED 19,882 700 ALPEN COMPANY LIMITED 11,818 20,564 ARISTOCRAT LEISURE LIMITED 80,299 500 ARUZE CORPORATION 5,771 98 Wells Fargo Advantage Master Portfolios Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - --------------- ------------- -------------- AMUSEMENT & RECREATION SERVICES (continued) 1,500 AVEX GROUP HOLDINGS INCORPORATED $ 13,541 33,564 BALLY TECHNOLOGIES INCORPORATED+ 1,356,993 55,800 BEC WORLD PCL 30,681 19,100 BERJAYA LAND BHD 20,556 44,250 BERJAYA SPORTS TOTO BHD 53,906 114,000 CHINA TRAVEL INTERNATIONAL INVESTMENT HONG KONG LIMITED 22,357 1,521 CLUB MEDITERRANEE+ 25,071 1,500 DAIICHIKOSHO COMPANY LIMITED 19,828 7 FIELDS CORPORATION 10,479 2,786 FLIGHT CENTRE LIMITED 33,767 20 FUJI TELEVISION NETWORK INCORPORATED 31,424 2,074 GESTEVISION TELECINCO SA 23,241 1,414 GREAT CANADIAN GAMING CORPORATION+ 9,067 1,200 H.I.S COMPANY LIMITED 25,483 1,900 HEIWA CORPORATION 21,236 13,571 INFORMA PLC 62,832 81,998 INTERNATIONAL GAME TECHNOLOGY 1,715,398 1,614 INTRALOT SA-INTEGRATED LOTTERY SYSTEMS & SERVICES 10,181 9,150 KANGWON LAND INCORPORATED 120,886 74 KUONI REISEN HOLDING 24,494 14,228 LADBROKERS PLC 45,120 23,000 LI NING COMPANY LIMITED 63,951 2,636 LOTTOMATICA SPA 59,292 600 MARS ENGINEERING CORPORATION 19,344 72,300 MEDIA PRIMA BHD 30,386 10,400 NAMCO BANDAI HOLDINGS INCORPORATED 110,427 140 NIPPON TELEVISION NETWORK CORPORATION 17,679 5,577 OPAP SA 135,919 3,000 ORIENTAL LAND COMPANY LIMITED 202,794 14 PACIFIC GOLF GROUP INTERNATIONAL 10,081 664 PADDY POWER PLC 18,324 5,155 PARTYGAMING PLC 21,509 36,038 PINNACLE ENTERTAINMENT INCORPORATED+ 338,036 14,400 PMP LIMITED 9,250 233,815 RESORTS WORLD BHD 185,246 2,880 RESORTTRUST INCORPORATED 35,718 1,200 ROUND ONE CORPORATION 10,884 8,600 SEGA SAMMY HOLDINGS INCORPORATED 112,202 5,000 SHOCHIKU COMPANY LIMITED 43,310 3,029 SUN TV NETWORK LIMITED 16,862 27,275 TABCORP HOLDINGS LIMITED 154,685 56,039 TATTERSALL'S LIMITED 117,463 10,167 TEN NETWORK HOLDINGS LIMITED 10,698 30,457 TICKETMASTER+<< 297,260 5,000 TOEI COMPANY LIMITED 28,426 11,000 TOKYO DOME CORPORATION 33,573 12,000 TOKYOTOKEIBA COMPANY LIMITED 19,344 9 TV ASAHI CORPORATION 14,102 27,221 WILLIAM HILL PLC 82,203 26,846 WMS INDUSTRIES INCORPORATED+<< 1,136,391 1,200 YOSHIMOTO KOGYO COMPANY LIMITED 13,876 7,143,546 -------------- APPAREL: 0.00% 37,000 CHINA HONGXING SPORTS LIMITED 6,291 -------------- Wells Fargo Advantage Master Portfolios 99 Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - --------------- ------------- -------------- APPAREL & ACCESSORY STORES: 1.00% 1,100 ADERANS COMPANY LIMITED $ 14,990 5,166 ADIDAS-SALOMON AG 243,362 41,303 AEROPOSTALE INCORPORATED+<< 1,617,012 48,468 AMERICAN EAGLE OUTFITTERS INCORPORATED 654,318 50,701 ANN TAYLOR STORES CORPORATION+ 713,870 3,300 AOKI HOLDINGS INCORPORATED 36,777 3,400 AOYAMA TRADING COMPANY LIMITED 63,031 2,095 BEIERSDORF AG 106,321 190,000 BELLE INTERNATIONAL HOLDINGS LIMITED 171,358 2,512 BULGARI SPA 18,204 23,993 CATO CORPORATION 409,800 461 CHARLES VOEGELE HOLDING AG 17,806 152,349 CHICO'S FAS INCORPORATED+ 1,939,403 111,000 CHINA DONGXIANG GROUP COMPANY 68,601 2,000 CHIYODA COMPANY LIMITED 28,071 15,800 CITIZEN HOLDINGS COMPANY LIMITED 94,919 55,697 COLLECTIVE BRANDS INCORPORATED+<< 882,240 304,201 COMPAL ELECTRONIC INCORPORATED 306,821 17,840 DEBENHAMS PLC 23,089 562 DOUGLAS HOLDING AG 22,720 3,500 FAST RETAILING COMPANY LIMITED 419,398 26,000 GAP INCORPORATED 510,900 950 GEOX SPA 8,321 48,000 GIORDANO INTERNATIONAL LIMITED 14,059 9,000 HANKYU DEPARTMENT STORES 56,679 6,422 HMV GROUP PLC 12,284 5,523 INDUSTRIA DE DISENO TEXTIL SA 300,561 32,229 J.CREW GROUP INCORPORATED+<< 1,098,687 19,891 KOHL'S CORPORATION+ 1,026,177 6,257 L'OREAL SA 616,066 75,900 LIMITED BRANDS 1,132,428 815 LOTTE SHOPPING COMPANY LIMITED 185,657 12,300 MARUI COMPANY LIMITED 85,393 5,066 NEXT PLC 135,254 2,400 NISHIMATSUYA CHAIN COMPANY LIMITED 24,013 46,343 NORDSTROM INCORPORATED 1,299,458 1,103 ORIFLAME COSMETICS SA 53,613 1,966 PINAULT-PRINTEMPTS-REDOUTE SA 228,325 730 POINT INCORPORATED 44,639 122 PUMA AG RUDOLF DASSLER SPORT 34,490 225,767 QUANTA COMPUTER INCORPORATED 467,768 2,386 REITMAN'S CANADA LIMITED CLASS A 33,019 1,000 RIGHT ON COMPANY LIMITED 9,447 31,489 ROSS STORES INCORPORATED 1,468,647 3,000 SEIKO HOLDINGS CORPORATION CLASS C 8,125 1,100 SHIMANURA COMPANY LIMITED 98,474 18,000 SHISEIDO COMPANY LIMITED 316,862 1,261 SIGNET JEWELERS LIMITED 30,054 1,220 SWATCH GROUP AG 51,673 760 SWATCH GROUP AG CLASS B 163,713 14,000 TAKASHIMAYA COMPANY LIMITED 117,356 22,283 TRUWORTHS INTERNATIONAL LIMITED 112,711 22,177 UNDER ARMOUR INCORPORATED+<< 529,365 2,400 Uni-Charm Corporation 215,110 1,900 UNITED ARROWS LIMITED 16,192 100 Wells Fargo Advantage Master Portfolios Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO Shares Security Name Value - ------------ ------------- -------------- APPAREL & ACCESSORY STORES (continued) 32,715 URBAN OUTFITTERS INCORPORATED+<< $ 930,087 26,500 YUE YUEN INDUSTRIAL HOLDINGS LIMITED 69,922 19,357,640 -------------- APPAREL & OTHER FINISHED PRODUCTS MADE FROM FABRICS & SIMILAR MATERIALS: 0.62% 1,225 BENETTON GROUP SPA 11,670 8,855 BILLABONG INTERNATIONAL LIMITED 78,585 96,000 BOSIDENG INTERNATIONAL HOLDINGS LIMITED 14,740 9,631 BURBERRY GROUP PLC 75,807 1,200 DAIDOH LIMITED 8,911 3,000 DESCENTE LIMITED 14,089 13,626 GUESS? INCORPORATED 477,455 9,000 GUNZE LIMITED 40,913 81,701 HANESBRANDS INCORPORATED+<< 1,720,623 12,751 HENNES & MAURITZ AB CLASS B 706,652 1,654 HERMES INTERNATIONAL 245,063 18,607 INFOSYS TECHNOLOGIES LIMITED 812,172 74,100 JONES APPAREL GROUP INCORPORATED 1,155,219 1,000 KATAKURA INDUSTRIES COMPANY LIMITED 11,488 71,800 LIZ CLAIBORNE INCORPORATED<< 305,150 79 LPP SA+ 45,758 3,000 MIZUNO CORPORATION 13,509 700 NAGAILEBEN COMPANY LIMITED 14,143 3,318 NOBEL BIOCARE HOLDING AG 101,335 6,000 ONWARD KASHIYAMA COMPANY LIMITED 43,783 31,579 PHILLIPS-VAN HEUSEN CORPORATION 1,193,055 13,832 POLO RALPH LAUREN CORPORATION<< 918,168 11,500 PORTS DESIGN LIMITED 26,322 204,020 POU CHEN CORPORATION 126,441 99,030 QUIKSILVER INCORPORATED+ 279,265 5,000 SANYO SHOKAI LIMITED 16,819 17,827 THE GYMBOREE CORPORATION+<< 798,471 3,000 THE JAPAN WOOL TEXTILE COMPANY LIMITED 23,149 207 TOD'S SPA 12,912 4,000 TOKYO STYLE COMPANY LIMITED 33,530 21,829 VF CORPORATION 1,518,425 6,000 WACOAL CORPORATION 75,766 28,073 WARNACO GROUP INCORPORATED+<< 1,068,178 34,000 YGM TRADING LIMITED 19,916 12,007,482 -------------- APPLICATIONS SOFTWARE: 0.01% 17,158 WIPRO LIMITED<< 270,239 -------------- AUTO PARTS & EQUIPMENT: 0.00% 35,000 JVC KENWOOD HOLDINGS INCORPORATED+ 19,559 96,200 SOMBOON ADVANCE TECHNOLOGY PCL 24,892 1,551,500 YARNAPUND PCL 35,127 79,578 -------------- AUTO PARTS - ORIGINAL EQUIPMENT: 0.00% 2,700 TOKAI RIKA COMPANY LIMITED 48,458 -------------- AUTOMOTIVE: 0.00% 1,200 UNIPRES CORPORATION 16,133 -------------- Wells Fargo Advantage Master Portfolios 101 Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO Shares Security Name Value - ------------ ------------- -------------- AUTOMOTIVE DEALERS & GASOLINE SERVICE STATIONS: 0.66% 143,314 TOYOTA MOTOR CORPORATION $ 6,145,329 23,588 ADVANCE AUTO PARTS INCORPORATED<< 997,772 1,200 AUTOBACS SEVEN COMPANY LIMITED 44,879 19,244 AUTONATION INCORPORATED+<< 365,251 8,100 AUTOZONE INCORPORATED+<< 1,192,725 8,363 BAYERISCHE MOTOREN WERKE AG 380,959 31,600 BRIDGESTONE CORPORATION 577,664 2,000 CANADIAN TIRE CORPORATE LIMITED CLASS A 104,316 17,239 COPART INCORPORATED+ 609,226 24 D'IETEREN SA 7,326 9,616 FREEWORLD COATINGS LIMITED 11,718 35,000 HOTAI MOTOR COMPANY LIMITED 78,790 117,500 NISSAN MOTOR COMPANY LIMITED 820,795 33,247 O'REILLY AUTOMOTIVE INCORPORATED+<< 1,272,695 4,019 PEUGEOT SA 116,357 2,000 SINANEN COMPANY LIMITED 10,296 1,420 USS COMPANY LIMITED 89,427 12,825,525 -------------- AUTOMOTIVE REPAIR, SERVICES & PARKING: 0.03% 5,568 BAJAJ AUTO LIMITED 53,525 3,188 GHABBOUR AUTO+ 15,153 14,169 RYDER SYSTEM INCORPORATED 538,422 607,100 -------------- BANKING: 0.01% 128 BERNER KANTONALBANK AG 28,044 1,432 EFG INTERNATIONAL 23,260 5,833 NATIONAL SOCIETE GENERALE BANK SAE 28,897 40 ST. GALLER KANTONALBANK 16,612 13,375 TURK EKONOMI BANKASI AS 16,316 500 YACHIYO BANK LIMITED 14,911 128,040 -------------- BEVERAGES: 0.01% 3,400 BROWN-FORMAN CORPORATION 163,880 2,737 COCA-COLA ICECEK URETIM AS 19,158 183,038 -------------- BIOPHARMACEUTICALS: 0.05% 22,774 ACORDA THERAPEUTICS INCORPORATED+ 515,148 32,755 THERAVANCE INCORPORATED+<< 509,995 1,025,143 -------------- BUILDING: 0.00% 2,759 BOVIS HOMES GROUP PLC 23,783 -------------- BUILDING CONSTRUCTION-GENERAL CONTRACTORS & OPERATIVE BUILDERS: 0.74% 8,805 AMEC PLC 108,079 10,708 BALFOUR BEATTY PLC 58,694 3,719 BARRATT DEVELOPMENTS PLC 14,882 2,655 BELLWAY PLC 38,187 2,884 BERKELEY GROUP HOLDINGS PLC 44,438 958 BILFINGER BERGER AG 59,166 8,070 CARILLION PLC 38,835 102 Wells Fargo Advantage Master Portfolios Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - ------------ ------------- -------------- BUILDING CONSTRUCTION-GENERAL CONTRACTORS & OPERATIVE BUILDERS (continued) 184,900 CH KARNCHANG PCL $ 22,181 324,779 CHINA COMMUNICATIONS CONSTRUCTION COMPANY LIMITED 371,274 6,000 COMSYS HOLDINGS CORPORATION 69,318 35,000 CONTINENTAL ENGINEERING CORPORATION 13,982 77,054 CSR LIMITED 132,857 2,033 DAELIM INDUSTRIAL COMPANY LIMITED 117,367 6,734 DAEWOO ENGINEERING & CONSTRUCTION COMPANY LIMITED 75,487 28,000 DAIWA HOUSE INDUSTRY COMPANY LIMITED 312,047 59,800 DIALOG GROUP BHD 20,378 76,652 DR HORTON INCORPORATED 1,027,903 1,675 EIFFAGE SA 119,020 14,223 ENKA INSAAT VE SANAYI AS 57,363 1,592 FLEETWOOD CORPORATION LIMITED 10,522 147,600 GAMUDA BHD 128,676 7,183 GLOBE TRADE CENTRE SA+ 63,960 3,104 GS ENGINEERING & CONSTRUCTION CORPORATION 237,852 2,009 HANJIN HEAVY INDUSTRIES & CONSTRUCTION COMPANY LIMITED 23,566 54,000 HASEKO CORPORATION 60,935 5,453 HASTIE GROUP LIMITED 8,342 1,025 HOCHTIEF AG 75,838 7,267 HOLCIM LIMITED 490,003 4,783 HYUNDAI DEVELOPMENT COMPANY 174,638 8,659 HYUNDAI ENGINEERING & CONSTRUCTION COMPANY LIMITED 417,385 43,800 IJM CORPORATION BHD 74,379 13,306 IMPREGILO SPA 54,079 82,400 ITALIAN-THAI DEVELOPMENT PCL 6,881 12,000 JGC CORPORATION 222,719 2,686 JM AB 28,771 49,000 KAJIMA CORPORATION 137,442 47,677 KB HOME<< 868,198 589 KIER GROUP PLC 10,902 6,000 KINDEN CORPORATION 53,713 1,860 KONINKLIJKE BAM GROEP NV 19,522 1,172 KUMHO INDUSTRIAL COMPANY LIMITED 12,246 151,700 LAND & HOUSES PCL 26,763 6,606 LEIGHTON HOLDINGS LIMITED 206,307 5,000 MAEDA CORPORATION 16,550 3,000 MAEDA ROAD CONSTRUCTION COMPANY LIMITED 26,373 25,900 MALAYSIAN RESOURCES CORPORATION BHD+ 9,414 8,700 MDC HOLDINGS INCORPORATED 325,902 1,000 NCC AB 12,292 110,082 NEW WORLD DEVELOPMENT LIMITED 222,140 2,000 NIPPO CORPORATION 17,303 12,000 NISHIMATSU CONSTRUCTION COMPANY LIMITED 21,408 1,314 NVR INCORPORATED+ 887,279 34,000 OBAYASHI CORPORATION 153,100 9,000 OKUMURA CORPORATION 37,238 543 PBG SA+ 42,176 4,800 PEAB AB 28,118 8,500 PENTA-OCEAN CONSTRUCTION COMPANY LIMITED 11,601 6,990 PERSIMMON PLC 56,009 625 POLNORD SA+ 10,824 127,304 PULTE HOMES INCORPORATED<< 1,626,945 103,674 PYI CORPORATION LIMITED 4,147 3,458 REDROW PLC 13,922 100 ROCKWOOL INTERNATIONAL AS 9,360 Wells Fargo Advantage Master Portfolios 103 Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - ------------ ------------- -------------- BUILDING CONSTRUCTION-GENERAL CONTRACTORS & OPERATIVE BUILDERS (continued) 26,288 RYLAND GROUP INCORPORATED<< $ 602,521 23,000 SEKISUI CHEMICAL COMPANY LIMITED 146,824 26,000 SEKISUI HOUSE LIMITED 249,801 36,000 SEMBCORP INDUSTRIES LIMITED 80,197 33,000 SHIMIZU CORPORATION 136,185 69,000 SINGAPORE TECHNOLOGIES ENGINEERING LIMITED 124,022 291,300 SINO THAI ENGINEERING & CONSTRUCTION PCL 40,256 446 STRABAG SE 14,194 48,000 TAISEI CORPORATION 105,234 900 TAKAMATSU CORPORATION 16,317 33,368 TAYLOR WOODROW PLC 28,356 9,000 TOA CORPORATION 11,026 11,000 TODA CORPORATION 44,331 2,000 TOENEC CORPORATION 12,746 3,880 TOKYU CONSTRUCTION COMPANY LIMITED 11,926 35,525 TOLL BROTHERS INCORPORATED+<< 807,839 8,065 UNITED CONSTRUCTION GROUP LIMITED 100,340 5,000 UNITED ENGINEERS 5,899 51,000 UNITED FIBER SYSTEM LIMITED 2,301 40,191 URBI DESARROLLOS URBANOS SA DE CV+ 76,745 32,628 WALTER INDUSTRIES INCORPORATED 1,693,719 24,000 YANLORD LAND GROUP LIMITED 38,308 3,315 YIT OYJ 47,382 41,800 YTL CORPORATION BHD 87,363 10,000 ZELAN BHD 2,556 330 ZPH STALPRODUKT SA 71,007 14,204,593 -------------- BUILDING MATERIALS, HARDWARE, GARDEN SUPPLY & MOBILE HOME DEALERS: 0.44% 53,000 ASAHI GLASS COMPANY LIMITED 461,365 7,000 CENTRAL GLASS COMPANY LIMITED 34,455 13,800 DAIKIN INDUSTRIES LIMITED 486,448 5,900 DCM JAPAN HOLDINGS COMPANY LIMITED 39,756 34,568 FASTENAL COMPANY<< 1,251,362 27,150 FLETCHER BUILDING LIMITED 146,445 1,100 FLSMIDTH & COMPANY A/S 60,910 27,000 FUJI ELECTRIC HOLDINGS COMPANY LIMITED 51,650 1,002 GEBERIT AG 154,147 4,315 GRAFTON GROUP PLC 22,270 86,630 HOME DEPOT INCORPORATED 2,364,133 1,700 KCI KONECRANES OYJ 48,060 2,000 KEIYO COMPANY LIMITED 10,038 61,792 KINGFISHER PLC 212,958 2,792 KINGSPAN GROUP PLC 25,016 2,600 KOMERI COMPANY LIMITED 69,156 16,000 MATSUSHITA ELECTRIC WORKS LIMITED 191,725 28,000 NIPPON SHEET GLASS COMPANY LIMITED 98,098 2,381 REECE AUSTRALIA LIMITED 43,267 1,600 RINNAI CORPORATION 79,441 2,359 RONA INCORPORATED+ 30,254 27,354 SANDVIK AB 275,521 9,000 SANWA SHUTTER CORPORATION 33,079 1,218 SCHINDLER HOLDING AG 79,022 7,009 SCHNEIDER ELECTRIC SA 646,097 24,600 SHERWIN-WILLIAMS COMPANY 1,480,920 89,000 TECHTRONIC INDUSTRIES COMPANY 87,272 104 Wells Fargo Advantage Master Portfolios Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - ------------ ------------- -------------- BUILDING MATERIALS, HARDWARE, GARDEN SUPPLY & MOBILE HOME DEALERS (continued) 749 WIENER STAEDTISCHE ALLGEMEINE VERSICHERUNG AG $ 38,924 1,713 WIENERBERGER AG 39,096 8,560,885 -------------- BUSINESS SERVICES: 5.98% 333,969 3COM CORPORATION+ 1,452,765 28,189 AARON RENTS INCORPORATED 735,733 40,030 ACTIVISION BLIZZARD INCORPORATED+ 464,748 67,047 ACXIOM CORPORATION 611,469 3,162 ADECCO SA 151,844 35,944 ADOBE SYSTEMS INCORPORATED+<< 1,129,360 10,043 ADVENT SOFTWARE INCORPORATED+<< 388,564 16,584 AEGIS GROUP PLC 27,781 700 AEON DELIGHT COMPANY LIMITED 10,261 22,698 AFFILIATED COMPUTER SERVICES INCORPORATED CLASS A+ 1,016,870 42,904 AKAMAI TECHNOLOGIES INCORPORATED+ 756,827 14,592 ALLIANCE DATA SYSTEMS CORPORATION+<< 810,732 1,932 ALTRAN TECHNOLOGIES SA+ 6,974 21,773 ANSYS INCORPORATED+ 765,103 14,616 ARBITRON INCORPORATED 267,765 5,848 ASIAN PAINTS LIMITED 167,721 3,940 ASSECO POLAND SA 86,437 7,805 ASX LIMITED 218,354 916 ATOS ORIGIN SA+ 42,994 6,288 AUSDRILL LIMITED 8,025 5,717 AUTONOMY CORPORATION PLC+ 121,084 41,271 AVOCENT CORPORATION+ 673,543 17,967 BLACKBOARD INCORPORATED+<< 618,244 45,900 BMC SOFTWARE INCORPORATED+ 1,636,335 1,423 BOLSAS Y MARCADOS ESPANOLES 50,470 65,779 BRAMBLES LIMITED 413,082 28,135 BRINK'S HOME SECURITY HOLDINGS+ 879,781 5,880 BTG PLC+ 18,341 28,000 CA INCORPORATED 624,120 18,739 CACI INTERNATIONAL INCORPORATED CLASS A+<< 861,244 16,065 CAPITA GROUP PLC 178,233 15,843 CERNER CORPORATION+<< 977,672 6,200 CGI GROUP INCORPORATED+ 64,110 47,133 CHECK POINT SOFTWARE TECHNOLOGIES+ 1,313,597 37,000 CHINA EVERBRIGHT INTERNATIONAL LIMITED 13,510 603,688 CHINA UNICOM LIMITED 849,009 45,100 CITRIX SYSTEMS INCORPORATED+<< 1,609,168 31,323 COGNEX CORPORATION 501,794 73,378 COGNIZANT TECHNOLOGY SOLUTIONS CORPORATION CLASS A+ 2,559,425 20,811 COMPUTERSHARE LIMITED 177,830 67,283 COMPUWARE CORPORATION+ 485,110 26,140 CONCUR TECHNOLOGIES INCORPORATED+<< 924,310 100,677 CONVERGYS CORPORATION+ 1,091,339 3,400 CSK HOLDINGS CORPORATION 16,406 15 CYBERAGENT INCORPORATED 14,234 42,715 CYBERSOURCE CORPORATION+ 655,675 2,100 DAISEKI COMPANY LIMITED 45,588 3,959 DAVIS SERVICE GROUP PLC 25,393 2,629 DCC PLC 63,695 46,961 DELUXE CORPORATION 784,718 17 DENA COMPANY LIMITED 53,823 Wells Fargo Advantage Master Portfolios 105 Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - --------------- ------------- -------------- BUSINESS SERVICES (continued) 11,100 DENTSU INCORPORATED $ 255,879 23,467 DIGITAL RIVER INCORPORATED+ 828,854 34,572 DIMENSION DATA HOLDINGS PLC 33,487 1,353 DISCOUNT INVESTMENT CORPORATION 31,385 9,445 DST SYSTEMS INCORPORATED+ 432,675 800 DTS CORPORATION 7,334 88,613 EARTHLINK INCORPORATED 737,260 74,808 EBAY INCORPORATED+<< 1,656,249 21,932 ELECTRONIC ARTS INCORPORATED+ 399,601 39,744 ELECTRONICS FOR IMAGING INCORPORATED+ 422,876 26,667 EXPERIAN GROUP LIMITED 224,660 48,288 F5 NETWORKS INCORPORATED+<< 1,665,453 10,771 FACTSET RESEARCH SYSTEMS INCORPORATED 592,836 40,186 FAIR ISAAC CORPORATION 896,148 47,174 FIDELITY NATIONAL INFORMATION SERVICES INCORPORATED<< 1,158,593 1,415 FINANCIAL TECHNOLOGIES (INDIA) LIMITED 43,590 638 FIRSTSERVICE CORPORATION+ 10,199 38,614 FISERV INCORPORATED+ 1,863,126 7,014 FOCUS MEDIA HOLDING LIMITED+<< 62,845 8,186 FORRESTER RESEARCH INCORPORATED+ 192,698 21,000 GALLANT VENTURE LIMITED+ 4,445 1,693 GARDA WORLD SECURITY CORPORATION CLASS A+ 7,841 14,700 GARTNER INCORPORATED+ 244,902 9 GCA SAVVIAN GROUP CORPORATION 10,243 2,862 GEMALTO NV+ 118,987 353 GFK SE 10,769 150,333 GLG PARTNERS INCORPORATED<< 593,815 19,472 GLOBAL PAYMENTS INCORPORATED 826,392 16,776 GOOGLE INCORPORATED CLASS A+ 7,744,976 25,928 GREATEK ELECTRONIC INCORPORATED 23,828 112,000 GUANGDONG INVESTMENT LIMITED 57,370 4,345 HAVAS SA 13,249 4,000 HAW PAR CORPORATION LIMITED 14,435 700 HITACHI INFORMATION SYSTEMS LIMITED 21,741 24,642 HLTH CORPORATION+<< 357,555 15,411 HMS HOLDINGS CORPORATION+ 579,608 1,137 HOMESERVE PLC 27,172 48,500 HONG KONG EXCHANGES & CLEARING LIMITED 844,790 21,783 HOUSING DEVELOPMENT FINANCE CORPORATION 1,103,917 13,270 HURON CONSULTING GROUP INCORPORATED+<< 249,741 9,000 HYFLUX LIMITED 17,926 717 I-FLEX SOLUTIONS LIMITED 25,498 383 ILIAD SA 39,237 49,000 IMS HEALTH INCORPORATED 679,140 24,915 INDUSTREA LIMITED 10,003 22,659 INDUSTRIAL DEVELOPMENT BANK OF INDIA LIMITED 48,265 53,769 INFORMATICA CORPORATION+ 964,078 24,277 INFOSYS TECHNOLOGIES LIMITED ADR<< 1,049,495 131,083 INTERPUBLIC GROUP OF COMPANIES INCORPORATED+ 824,512 5,289 INTERSERVE PLC 20,621 1,200 INTRUM JUSTITIA AB 12,770 73,142 INTUIT INCORPORATED+ 2,031,153 2,961 INVOCARE LIMITED 13,940 407 IPSOS 11,334 2,812 IRESS MARKET TECHNOLOGY LIMITED 19,584 46,031 IRON MOUNTAIN INCORPORATED+<< 1,348,248 106 Wells Fargo Advantage Master Portfolios Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - --------------- ------------- -------------- BUSINESS SERVICES (continued) 37,264 ITAUSA INVESTIMENTOS ITAU SA $ 208,988 1,281 JC DECAUX SA 27,749 36,884 JUNIPER NETWORKS INCORPORATED+ 850,914 1,276 JYSKE BANK+ 54,067 12 KABU.COM SECURITIES COMPANY LIMITED 14,960 16 KAKAKU.COM INCORPORATED 59,839 22 KENEDIX INCORPORATED 10,628 56,138 KEPPEL CORPORATION LIMITED 296,478 4,287 KONE OYJ 149,038 5,000 KYOWA EXEO CORPORATION 50,403 34,983 LAMAR ADVERTISING COMPANY+<< 800,761 23,821 LENDER PROCESSING SERVICES INCORPORATED 816,584 2,820 LG DACOM CORPORATION 41,547 41,058 LOGICACMG PLC 76,866 1,440 LOOMIS AB 13,452 452 MACDONALD DETTWILER & ASSOCIATES LIMITED+ 12,593 43,191 MAN GROUP PLC 189,141 21,500 MANPOWER INCORPORATED 1,111,550 81,000 MARUBENI CORPORATION 403,041 5,496 MASTERCARD INCORPORATED CLASS A<< 1,113,654 37,585 MCAFEE INCORPORATED+ 1,495,131 57,693 MENTOR GRAPHICS CORPORATION+ 509,429 6,620 MICHAEL PAGE INTERNATIONAL PLC 36,707 550,571 MICROSOFT CORPORATION 13,571,575 73,600 MITSUBISHI CORPORATION 1,490,983 3,000 MITSUI-SOKO COMPANY LIMITED 11,639 44 MONEX BEANS HOLDINGS INCORPORATED 18,607 31,457 MONSTER WORLDWIDE INCORPORATED+<< 510,233 700 MOSHI MOSHI HOTLINE INCORPORATED 13,616 76,562 MPS GROUP INCORPORATED+ 754,901 3,324 N BROWN GROUP PLC 11,943 36,885 NCR CORPORATION+ 491,677 800 NEC FIELDING LIMITED 12,492 8,300 NETEASE.COM INCORPORATED ADR+<< 348,517 28,401 NETFLIX INCORPORATED+<< 1,239,988 500 NIPPON KANZAI COMPANY LIMITED 7,856 1,400 NIPPON SYSTEM DEVELOPMENT COMPANY LIMITED 14,850 87,961 NOVELL INCORPORATED+ 382,630 600 NS SOLUTIONS CORPORATION 10,530 15,246 NWS HOLDINGS LIMITED 29,703 300 OBIC BUSINESS CONSULTANTS LIMITED 14,508 1,300 OPEN TEXT CORPORATION+ 45,789 266,215 ORACLE CORPORATION 5,822,122 3,458 PATNI COMPUTER SYSTEMS LIMITED 30,061 1,942 PERPETUAL TRUSTEES AUSTRALIA LIMITED 67,543 4,384 PROGRAMMED MAINTENANCE SERVICES LIMITED 14,080 24,479 PROGRESS SOFTWARE CORPORATION+ 545,392 24,488 PSION PLC 40,663 4,100 QUALITY SYSTEMS INCORPORATED<< 220,744 47,358 RED HAT INCORPORATED+<< 1,087,340 9,839 REGUS PLC 16,514 57,294 RENT-A-CENTER INCORPORATED+ 1,130,411 2,129 RITCHIE BROS. AUCTIONEERS INCORPORATED 53,480 37,740 ROBERT HALF INTERNATIONAL INCORPORATED 992,185 914 ROYALBLUE GROUP PLC 16,992 3,331 RPS GROUP PLC 10,845 Wells Fargo Advantage Master Portfolios 107 Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - --------------- ------------- -------------- BUSINESS SERVICES (continued) 1,900 S1 CORPORATION+ $ 11,951 1,493 S1 CORPORATION INCORPORATED (KOREA) 60,251 25,740 SALESFORCE.COM INCORPORATED+<< 1,335,134 23,587 SAP AG 1,151,724 16,451 SATYAM COMPUTER SERVICES LIMITED<< 109,564 8,400 SECURITAS AB 81,894 5,403 SECURITAS SYSTEMS AB CLASS B 9,943 7,640 SEEK LIMITED 34,740 117 SGS SOCIETE GENERALE DE SURVEILLANCE HOLDING SA 144,634 197,500 SHENZHEN INTERNATIONAL HOLDINGS 14,780 1,020 SHREE CEMENT LIMITED 32,082 4,000 SIA ENGINEERING COMPANY 7,190 25,666 SINGAPORE AIRPORT TERMINAL SERVICES LIMITED 43,995 49,000 SINGAPORE EXCHANGE LIMITED 284,285 4 SO-NET ENTERTAINMENT CORPORATION 7,987 414 SOFTWARE AG 31,706 3,200 SOHGO SECURITY SERVICES COMPANY LIMITED 39,996 46,680 SONICWALL INCORPORATED+ 349,633 2,700 SQUARE ENIX COMPANY LIMITED 69,495 7,000 STELLA INTERNATIONAL 11,669 900 SUMISHO COMPUTER SYSTEMS 14,934 7,000 SUMITOMO WAREHOUSE COMPANY LIMITED 34,078 203,256 SUN MICROSYSTEMS INCORPORATED+ 1,886,216 30,500 SWIRE PACIFIC LIMITED 318,165 544 SXC HEALTH SOLUTIONS CORPORATION+ 22,242 20,658 SYBASE INCORPORATED+ 719,931 36,000 SYNOPSYS INCORPORATED+ 764,280 24,000 TAIWAN SECOM 35,253 1,006 TELEPERFORMANCE 34,563 20,815 TELETECH HOLDINGS INCORPORATED+ 355,104 453,865 TELMEX INTERNACIONAL SAB DE CV 292,964 863 TEMENOS GROUP AG+ 17,319 1,300 TEMP HOLDINGS COMPANY LIMITED 11,037 28,135 THE BRINK'S COMPANY 741,357 187 THOMSON REUTERS ADR 35,738 54,939 THQ INCORPORATED+<< 302,714 152,003 TIBCO SOFTWARE INCORPORATED+ 1,348,267 800 TKC AS 15,605 600 TOKYU LIVABLE INCORPORATED 5,468 23,442 TOMKINS PLC 68,120 929 TOMTOM NV+ 13,698 1,700 TOPPAN FORMS COMPANY LIMITED 23,824 54,167 TOTAL SYSTEM SERVICES INCORPORATED 826,588 7,809 TOWER AUSTRALIA GROUP LIMITED 16,500 10,500 TOYOTA TSUSHO CORPORATION 170,505 1,300 TRANSCOSMOS INCORPORATED 14,767 5,259 TRAVIS PERKINS PLC 69,090 279,202 UNISYS CORPORATION+ 681,253 70,492 UNITED ONLINE INCORPORATED 493,444 952 USG PEOPLE NV 15,404 48,300 VERISIGN INCORPORATED+<< 1,023,477 15,356 VIAD CORPORATION 277,483 1,430 VIOHALCO SA 8,836 30,438 VISA INCORPORATED<< 2,164,142 13,145 VMWARE INCORPORATED+<< 465,727 25,158 WEBSENSE INCORPORATED+<< 381,395 108 Wells Fargo Advantage Master Portfolios Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - --------------- ------------- -------------- BUSINESS SERVICES (continued) 58,500 WHARF HOLDINGS LIMITED $ 262,291 13 WORKS APPLICATIONS COMPANY LIMITED 8,508 1,726 WS ATKINS PLC 17,997 89,650 YAHOO! INCORPORATED+<< 1,309,787 658 YAHOO! JAPAN CORPORATION 223,812 700 ZENRIN COMPANY LIMITED 9,449 115,616,452 -------------- CASINO & GAMING: 0.08% 55,703 MGM MIRAGE+<< 471,804 110,000 SJM HOLDINGS LIMITED 45,984 18,988 WYNN RESORTS LIMITED+<< 1,027,820 1,545,608 -------------- CHEMICALS: 0.00% 6,628 GODREJ INDUSTRIES LIMITED 25,684 -------------- CHEMICALS & ALLIED PRODUCTS: 7.75% 107,094 ABBOTT LABORATORIES 4,843,862 2,884 ACTELION LIMITED+ 166,411 4,400 ADEKA CORPORATION 44,213 4,200 AGRIUM INCORPORATED 200,840 2,800 AICA KOGYO COMPANY LIMITED 28,978 6,951 AIR LIQUIDE SA 741,896 13,740 AIR PRODUCTS & CHEMICALS INCORPORATED 1,030,912 7,000 AIR WATER INCORPORATED 80,494 6,155 AKZO NOBEL NV 348,587 20,359 ALEXION PHARMACEUTICALS INCORPORATED+ 919,005 58,120 ALKERMES INCORPORATED+ 525,986 70,200 AMGEN INCORPORATED+ 4,193,748 285 AMOREPACIFIC CORPORATION 166,130 3,400 ARISAWA MANUFACTURING COMPANY LIMITED 27,332 1,700 ASAHI HOLDINGS INCORPORATED 29,232 63,000 ASAHI KASEI CORPORATION 303,321 3,000 ASAHI ORGANIC CHEMICALS INDUSTRY COMPANY LIMITED 7,899 21,800 ASTELLAS PHARMA INCORPORATED 873,874 38,747 ASTRAZENECA PLC 1,791,419 734 ATRIUM INNOVATIONS INCORPORATED+ 8,984 31,000 AVERY DENNISON CORPORATION 957,900 24,502 BASF AG 1,278,246 20,600 BATU KAWAN BHD 54,169 19,007 BIOGEN IDEC INCORPORATED+ 954,341 61,441 BIOMARIN PHARMACEUTICAL INCORPORATED+ 1,011,933 2,900 BIOVAIL CORPORATION 37,060 100,325 BRISTOL-MYERS SQUIBB COMPANY 2,220,192 300 C UYEMURA & COMPANY LIMITED 12,896 46,252 CABOT CORPORATION 915,327 33,770 CALGON CARBON CORPORATION+ 482,911 3,906 CARDIOME PHARMA CORPORATION+ 17,661 39,465 CELANESE CORPORATION CLASS A 1,005,174 12,915 CF INDUSTRIES HOLDINGS INCORPORATED 1,054,639 15,956 CHARLES RIVER LABORATORIES INTERNATIONAL INCORPORATED+ 550,322 11,968 CHATTEM INCORPORATED+<< 732,920 725 CHEMRING GROUP PLC 24,656 64,000 CHINA AGRI-INDUSTRIES HOLDINGS LIMITED 44,921 90,100 CHINA PETROCHEMICAL DEVELOPMENT CORPORATION 26,113 Wells Fargo Advantage Master Portfolios 109 Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - --------------- ------------- -------------- CHEMICALS & ALLIED PRODUCTS (continued) 16,000 CHINA PHARMACEUTICAL GROUP LIMITED $ 8,732 9,000 CHINA STEEL CHEMICAL CORPORATION 19,003 1,377 CHRISTIAN DIOR SA 127,605 11,400 CHUGAI PHARMACEUTICAL COMPANY LIMITED 232,778 2,000 CHUGOKU MARINE PAINTS LIMITED 12,638 17,595 CHURCH & DWIGHT COMPANY INCORPORATED 1,005,202 645 CIECH SA 9,568 4,697 CLARIANT AG 42,450 34,400 CLOROX COMPANY 2,032,696 34,651 COLGATE-PALMOLIVE COMPANY 2,519,128 2,856 CRODA INTERNATIONAL 29,198 28,404 CSL LIMITED 773,268 35,303 CUBIST PHARMACEUTICALS INCORPORATED+ 730,066 41,250 CYTEC INDUSTRIES INCORPORATED 1,191,713 16,000 DAICEL CHEMICAL INDUSTRIES LIMITED 103,514 30,500 DAIICHI SANKYO COMPANY LIMITED 650,645 4,000 DAINICHISEIKA COLOR & CHEMICALS MANUFACTURING COMPANY LIMITED 14,014 33,000 DAINIPPON INK & CHEMICALS INCORPORATED 51,424 6,000 DAINIPPON SUMITOMO PHARMA COMPANY LIMITED 67,770 4,000 DAISO COMPANY LIMITED 11,478 1,106 DC CHEMICAL COMPANY LIMITED 220,952 23,000 DENKI KAGAKU KOGYO KABUSHIKI KAISHA 97,389 54,144 DOW CHEMICAL COMPANY 1,152,726 8,129 DR. REDDYS LABORATORIES LIMITED 132,012 500 EARTH CHEMICAL COMPANY LIMITED 14,401 18,667 EASTMAN CHEMICAL COMPANY 973,671 42,238 ECOLAB INCORPORATED 1,786,245 42,991 EI DU PONT DE NEMOURS & COMPANY 1,372,703 12,700 EISAI COMPANY LIMITED 465,416 10,917 ELAN CORPORATION PLC+ 79,208 9,136 ELEMENTIS PLC 7,771 50,100 ELI LILLY & COMPANY 1,676,346 27,482 ESTEE LAUDER COMPANIES INCORPORATED CLASS A 985,230 53,869 ETERNAL CHEMICAL COMPANY LIMITED 46,723 1,500 FANCL CORPORATION 21,150 20,000 FIBRECHEM TECHNOLOGIES LIMITED(a) 0 18,547 FMC CORPORATION 884,692 15,565 FOREST LABORATORIES INCORPORATED+ 455,588 349,170 FORMOSA CHEMICALS & FIBRE CORPORATION 612,067 409,810 FORMOSA PLASTICS CORPORATION 737,039 4,573 FRESENIUS KABI PHARMACEUTICALS HOLDING INCORPORATED+ 2,835 1,818 FRUTAROM INDUSTRIES LIMITED 14,027 1,000 FUJIMI INCORPORATED 15,519 4,000 FUSO PHARMACEUTICAL INDUSTRIES LIMITED 12,896 18,453 GENZYME CORPORATION+ 1,028,017 63,202 GILEAD SCIENCES INCORPORATED+ 2,847,882 190 GIVAUDAN SA 136,547 152,513 GLAXOSMITHKLINE PLC 2,986,849 1,272 H LUNDBECK AS 25,111 6,373 HANWHA CHEMICAL CORPORATION 66,338 3,239 HENKEL KGAA 108,425 4,406 HENKEL KGAA PREFERRED 174,082 2,070 HIKMA PHARMACEUTICALS PLC 15,602 3,900 HISAMITSU PHARMACEUTICAL COMPANY INCORPORATED 150,467 5,100 HITACHI CHEMICAL COMPANY LIMITED 105,289 827 HONAM PETROCHEMICAL CORPORATION 62,113 110 Wells Fargo Advantage Master Portfolios Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - --------------- ------------- -------------- CHEMICALS & ALLIED PRODUCTS (continued) 142,214 HUNTSMAN CORPORATION<< $ 1,221,618 36,537 IDEXX LABORATORIES INCORPORATED+<< 1,854,618 42,982 IMMUCOR INCORPORATED+<< 777,544 75,156 INCITEC PIVOT LIMITED 191,202 815 INTERCELL AG+ 29,210 22,520 INTERMUNE INCORPORATED+<< 341,854 21,615 INTERNATIONAL FLAVORS & FRAGRANCES INCORPORATED 769,926 48,409 INVERNESS MEDICAL INNOVATIONS INCORPORATED+<< 1,723,360 346 IPSEN 17,113 363,121 IRPC PCL 40,999 10,000 ISHIHARA SANGYO KAISHA LIMITED+ 10,639 37,248 ISRAEL CHEMICALS LIMITED 415,392 5,585 JOHNSON MATTHEY PLC 128,744 9,600 JSR CORPORATION 168,890 5,054 JUBILANT ORGANOSYS LIMITED 24,357 3,408 K+S AG 172,760 4,000 KAKEN PHARMACEUTICAL COMPANY LIMITED 36,539 368,000 KALBE FARMA TBK PT 46,365 14,000 KANEKA CORPORATION 103,063 11,000 KANSAI PAINT COMPANY LIMITED 89,608 25,000 KAO CORPORATION 634,068 469 KCC CORPORATION 119,419 1,400 KEMIRA OYJ 20,592 66,512 KING PHARMACEUTICALS INCORPORATED+ 690,395 26,500 KINGBOARD CHEMICALS HOLDINGS LIMITED 83,598 2,000 KISSEI PHARMACEUTICAL COMPANY LIMITED 47,609 1,500 KOBAYASHI PHARMACEUTICAL COMPANY LIMITED 67,383 4,806 KONINKLIJKE DSM NV 175,176 2,000 KYORIN COMPANY LIMITED 33,982 15,000 KYOWA HAKKO KOGYO COMPANY LIMITED 182,160 8,346 LA SEDA DE BARCELONA SA+ 4,068 1,898 LANXESS 57,467 30,100 LEE CHANG YUNG CHEMICAL INDUSTRY CORPORATION 32,600 756 LG HOUSEHOLD & HEALTH CARE LIMITED CLASS H 131,055 42,818 LIFE TECHNOLOGIES CORPORATION+ 1,906,686 2,600 LINTEC CORPORATION 54,515 11,000 LION CORPORATION 56,271 1,076 LONZA GROUP AG 105,679 18,509 LUBRIZOL CORPORATION 1,179,393 18,889 MAKHTESHIM-AGAN INDUSTRIES LIMITED 86,549 900 MANDOM CORPORATION 26,163 19,844 MARTEK BIOSCIENCES CORPORATION+<< 487,170 28,416 MEDICINES COMPANY+<< 216,530 48,940 MEDICIS PHARMACEUTICAL CORPORATION CLASS A 903,922 109,113 MERCK & COMPANY INCORPORATED 3,538,535 1,723 MERCK KGAA 156,234 2,200 METHANEX CORPORATION 39,388 400 MILBON COMPANY LIMITED 10,876 11,521 MINERALS TECHNOLOGIES INCORPORATED 516,602 2,500 MIRACA HOLDINGS INCORPORATED 72,139 64,000 MITSUBISHI CHEMICAL HOLDINGS CORPORATION 290,940 21,000 MITSUBISHI GAS CHEMICAL COMPANY INCORPORATED 123,450 35,000 MITSUI CHEMICALS INCORPORATED 132,402 37,508 MONSANTO COMPANY 3,146,171 300 MURAMOTO ELECTRON THAILAND PCL 1,279 83,217 MYLAN LABORATORIES INCORPORATED+<< 1,220,793 Wells Fargo Advantage Master Portfolios 111 Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - --------------- ------------- -------------- CHEMICALS & ALLIED PRODUCTS (continued) 36,030 NALCO HOLDING COMPANY $ 644,937 534,570 NAN YA PLASTICS CORPORATION 744,612 34,516 NBTY INCORPORATED+ 1,279,163 1,100 NICHI-IKO PHARMACEUTICAL COMPANY LIMITED 38,184 2,000 NIHON PARKERIZING COMPANY LIMITED 24,524 4,000 NIPPON CHEMICAL INDUSTRIAL COMPANY LIMITED 13,541 8,000 NIPPON KAYAKU COMPANY LIMITED 70,156 12,000 NIPPON PAINT COMPANY LIMITED 68,092 2,000 NIPPON SHINYAKU COMPANY LIMITED 25,836 6,000 NIPPON SHOKUBAI COMPANY LIMITED 56,679 5,000 NIPPON SODA COMPANY LIMITED 23,751 8,000 NISSAN CHEMICAL INDUSTRIES LIMITED 117,184 7,600 NITTO DENKO CORPORATION 230,328 9,000 NOF CORPORATION 51,263 65,318 NOVARTIS AG 3,027,488 12,540 NOVO NORDISK AS CLASS B 764,421 4,727 NUFARM LIMITED 42,789 867 NUPLEX INDUSTRIES LIMITED 1,475 59,832 OLIN CORPORATION 1,001,588 26,660 OM GROUP INCORPORATED+<< 725,419 289 OMEGA PHARMA SA 11,155 5,400 ONO PHARMACEUTICAL COMPANY LIMITED 265,212 34,920 ONYX PHARMACEUTICALS INCORPORATED+ 1,119,884 33,660 ORIENTAL UNION CHEMICAL CORPORATION 19,174 844 ORION OYJ 14,423 14,563 OSI PHARMACEUTICALS INCORPORATED+ 486,695 29,967 PAR PHARMACEUTICAL COMPANIES INCORPORATED+ 612,825 34,967 PAREXEL INTERNATIONAL CORPORATION+ 448,627 173 PAZ OIL COMPANY LIMITED 24,528 52,209 PERRIGO COMPANY 1,541,210 2,943 PETKIM PETROKIMYA HOLDING SA 14,027 347,848 PFIZER INCORPORATED 5,809,062 18,358 PHARMERICA CORPORATION+<< 368,078 8,328 PPG INDUSTRIES INCORPORATED 461,371 21,002 PRAXAIR INCORPORATED 1,609,173 203,982 PROCTER & GAMBLE COMPANY 11,037,466 37,894 PT TEMPO SCAN PACIFIC TBK+ 2,556 5,400 PTT CHEMICAL PCL 10,479 20,400 PTT CHEMICAL PCL ADR 37,489 3,917 PZ CUSSONS PLC 13,869 18,964 RANBAXY LABORATORIES LIMITED 127,339 16,514 RECKITT BENCKISER GROUP 766,999 6,569 RECORDATI SPA 44,309 50,892 RELIANCE INDUSTRIES LIMITED 2,089,986 2,099 RHODIA SA 25,401 638 RICHTER GEDEON PLC 127,807 44 RIETER HOLDING AG 8,020 5,000 ROHTO PHARMACEUTICAL COMPANY LIMITED 63,998 111,317 RPM INTERNATIONAL INCORPORATED 1,812,241 3,000 SAKAI CHEMICAL INDUSTRY COMPANY LIMITED 14,508 27,670 SANOFI-AVENTIS SA 1,877,089 17,805 SANOFI-AVENTIS SA ADR 606,616 3,600 SANTEN PHARMACEUTICAL COMPANY LIMITED 121,096 3,000 SANYO CHEMICAL INDUSTRIES LIMITED 18,700 700 SAWAI PHARMACEUTICAL COMPANY LIMITED 40,398 112,349 SCHERING-PLOUGH CORPORATION 3,165,995 112 Wells Fargo Advantage Master Portfolios Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - --------------- ------------- -------------- CHEMICALS & ALLIED PRODUCTS (continued) 27,194 SCOTTS MIRACLE-GRO COMPANY $ 1,106,524 1,400 SEIKAGAKU CORPORATION 17,919 42,272 SENSIENT TECHNOLOGIES CORPORATION 1,102,031 1,319 SGL CARBON AG+ 48,748 19,300 SHIN-ETSU CHEMICAL COMPANY LIMITED 1,140,785 15,000 SHIONOGI & COMPANY LIMITED 367,544 14,387 SHIRE LIMITED 239,600 333 SHISEIDO COMPANY LIMITED 5,844 56,000 SHOWA DENKO KK 120,967 9,866 SIDI KERIR PETROCHEMCIALS COMPANY 20,653 44,652 SIGMA PHARMACEUTICALS LIMITED 45,477 25,944 SIGMA-ALDRICH CORPORATION 1,317,955 114,000 SINOCHEM HONG KONG HOLDING LIMITED 51,628 22,993 SMITH & NEPHEW PLC 196,141 6,981 SOCIEDAD QUIMICA Y MINERA DE CHILE SA CLASS B 243,815 1,558 SOLVAY SA 164,055 2,000 SSP COMPANY LIMITED 10,682 700 ST CORPORATION 8,192 1,198 STADA ARZNEIMITTEL AG 27,016 600 STELLA CHEMIFA CORPORATION 28,243 23,625 STERLITE INDUSTRIES INDIA LIMITED ADR 56,879 700 SUMIDA ELECTRIC 17,792 9,000 SUMITOMO BAKELITE COMPANY LIMITED 45,846 82,000 SUMITOMO CHEMICAL COMPANY LIMITED 393,036 2,280 SYMRISE AG 37,687 2,584 SYNGENTA AG 607,627 54,000 TAIWAN FERTILIZER COMPANY LIMITED 156,505 16,000 TAIYO NIPPON SANSO CORPORATION 169,371 3,000 TAKASAGO INTERNATIONAL CORPORATION 16,378 33,000 TAKEDA PHARMACEUTICAL COMPANY LIMITED 1,329,930 10,000 TANABE SEIYAKU COMPANY LIMITED 131,220 22,881 TERRA INDUSTRIES INCORPORATED 711,828 332 TESSENDERLO CHEMIE NV 11,580 30,953 TEVA PHARMACEUTICAL INDUSTRIES LIMITED 1,592,684 26,399 TEVA PHARMACEUTICAL INDUSTRIES LIMITED ADR 1,359,548 611,100 THAI PETROCHEM 68,998 9,964 THE MOSAIC COMPANY 482,955 72,700 TITAN CHEMICALS CORPORATION 24,361 11,000 TOAGOSEI COMPANY LIMITED 36,056 9,000 TOKAI CARBON COMPANY LIMITED 46,233 11,000 TOKUYAMA CORPORATION 76,840 1,900 TOKYO OHKA KOKYO 44,922 28,000 TOSOH CORPORATION 81,247 10,000 TOYO INK MANUFACTURING COMPANY LIMITED 35,465 3,609 TRANSPORTADORA DE GAS DEL SUR SA 8,120 3,000 TSUMURA & COMPANY 106,394 15,268 TURK SISE VE CAM FABRIKALARI AS+ 16,183 45,000 UBE INDUSTRIES LIMITED JAPAN 139,280 2,614 UCB SA 101,706 161,000 UNILEVER INDONESIA TBK PT 161,319 14,378 UNITED THERAPEUTICS CORPORATION+ 1,315,731 102,183 USEC INCORPORATED+<< 464,933 80,658 VALSPAR CORPORATION 2,160,021 43,009 VERTEX PHARMACEUTICALS INCORPORATED+ 1,608,967 3,441 VICTREX PLC 39,605 357 WACKER CHEMIE AG 42,996 Wells Fargo Advantage Master Portfolios 113 Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - --------------- ------------- -------------- CHEMICALS & ALLIED PRODUCTS (continued) 23,200 WARNER CHILCOTT LIMITED+<< $ 472,584 36,392 WR GRACE & COMPANY+ 608,838 68,091 WYETH 3,258,154 596 YUHAN CORPORATION 92,342 8,000 ZEON CORPORATION 39,291 1,000 ZERIA PHARMACEUTICAL COMPANY LIMITED 10,682 149,750,970 -------------- COAL MINING: 0.64% 45,174 ALPHA NATURAL RESOURCES INCORPORATED+<< 1,459,572 40,360 ARCH COAL INCORPORATED 699,035 59,478 BHP BILLITON PLC 1,576,346 1,458,858 BUMI RESOURCES TBK PT 419,711 11,858 CENTENNIAL COAL COMPANY LIMITED 35,179 286,962 CHINA COAL ENERGY COMPANY 363,217 269,500 CHINA SHENHUA ENERGY COMPANY LIMITED 1,086,630 44,876 CONSOL ENERGY INCORPORATED 1,678,811 621 CUDECO LIMITED+ 2,498 4,256 FELIX RESOURCES LIMITED 62,087 168,000 FUSHAN INTERNATIONAL ENERGY GROUP LIMITED+ 114,233 32,000 HIDILI INDUSTRY INTERNATIONAL DEVELOPMENT LIMITED 31,709 106,000 INDIKA ENERGY TBK PT 25,764 29,000 INDO TAMBANGRAYA MEGAH PT 70,198 87,767 INTERNATIONAL COAL GROUP INCORPORATED+<< 266,812 5,272 KUMBA IRON ORE LIMITED 170,429 4,158 MACARTHUR COAL LIMITED 30,434 20,862 MASSEY ENERGY COMPANY<< 564,943 6,099 MINERAL DEPOSIT LIMITED+ 3,402 4,901 NEYVELI LIGNITE CORPORATION LIMITED 13,069 45,611 PATRIOT COAL CORPORATION+<< 404,113 18,172 PEABODY ENERGY CORPORATION 593,861 28,005 PENN VIRGINIA CORPORATION 536,576 149,000 PT ASTRA INTERNATIONAL INCORPORATED 445,670 60,500 PT TAMBANG BATUBARA BUKIT ASAM TBK 78,026 34,484 SASOL LIMITED 1,298,818 10,399 SINO GOLD MINING LIMITED+ 58,800 22,000 STRAITS ASIA RESOURCES LIMITED 32,215 2,322 UK COAL PLC+ 4,536 5,002 WHITEHAVEN COAL LIMITED 14,247 146,000 YANZHOU COAL MINING COMPANY LIMITED 207,591 12,348,532 -------------- COMMERCIAL SERVICES: 0.00% 4,000 PARK24 COMPANY LIMITED 40,408 -------------- COMMUNICATION & INFORMATION: 0.02% 33,104 WPP PLC 279,970 -------------- COMMUNICATIONS: 4.13% 44,000 ADVANCED INFO SERVICE PCL 111,585 53,900 ADVANCED INFO SERVICE PCL THB 142,635 2,110 AGORA SA 17,238 800 AIPHONE COMPANY LIMITED 13,971 60,378 ALCATEL SA 229,380 2,211 ALVARION LIMITED+ 8,355 1,064,636 AMERICA MOVIL SA DE CV 2,396,462 114 Wells Fargo Advantage Master Portfolios Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - --------------- ------------- -------------- COMMUNICATIONS (continued) 11,397 AMERICA MOVIL SA DE CV CLASS A+ $ 25,774 27,472 AMERICAN TOWER CORPORATION CLASS A+ 869,489 18,154 ANIXTER INTERNATIONAL INCORPORATED+<< 636,842 1,425 ANTENA 3 DE TELEVISION SA 14,913 11,012 APN NEWS & MEDIA LIMITED 17,591 1,753 ARNOLDO MONDADORI EDITORE SPA 7,539 1,300 ASATSU-DK INCORPORATED 28,082 87,800 ASTRO ALL ASIA NETWORKS PLC 86,765 307,415 AT&T INCORPORATED 8,008,161 15,840 AUSTAR UNITED COMMUNICATIONS LIMITED+ 13,990 21,200 BCE INCORPORATED 520,923 3,872 BELGACOM SA 145,212 1,269 BELL ALIANT REGIONAL COMMUNICATIONS INCOME FUND 31,193 73,300 BEZEQ ISRAELI TELECOMMUNICATION CORPORATION LIMITED 153,259 113,702 BHARTI AIRTEL LIMITED 988,794 57,736 BRIGHTPOINT INCORPORATED+ 423,782 27,794 BRITISH SKY BROADCASTING PLC 247,050 201,335 BT GROUP PLC 453,624 63,027 CABLE & WIRELESS PLC 152,265 61,920 CABLEVISION SYSTEMS CORPORATION 1,383,293 276,700 CARSO GLOBAL TELECOM SA DE CV+ 1,127,168 81,571 CENTURYTEL INCORPORATED 2,629,034 48,240 CHAMPION TECHNOLOGY HOLDINGS LIMITED 1,681 197,000 CHINA MOBILE LIMITED 1,916,508 1,108,000 CHINA TELECOM CORPORATION LIMITED 567,549 403,830 CHUNGHWA TELECOM COMPANY LIMITED 691,933 187,192 CINCINNATI BELL INCORPORATED+ 623,349 351 CITIC 1616 HOLDINGS LIMITED 89 394 COGECO CABLE INCORPORATED 9,764 4,296 COLT TELECOM GROUP SA+ 8,469 140,309 COMCAST CORPORATION CLASS A<< 2,149,534 56,200 COMCAST CORPORATION CLASS A SPECIAL (NON VOTING) 819,958 11,025 COMPAL COMMUNICATIONS INCORPORATED 9,797 1,591 CORUS ENTERTAINMENT INCORPORATED CLASS B 21,756 61,244 CROWN CASTLE INTERNATIONAL CORPORATION+ 1,645,014 11,824 CYBERTAN TECHNOLOGY INCORPORATED 13,651 6,541 CYFROWY POLSAT SA 36,067 41,749 D-LINK CORPORATION 32,089 5,648 DAILY MAIL & GENERAL TRUST CLASS A NV 35,813 1,000 DAIMEI TELECOM ENGINEERING CORPORATION 9,780 2,000 DENKI KOGYO COMPANY LIMITED 10,145 79,404 DEUTSCHE TELEKOM AG 1,055,813 20,200 DIGI.COM BHD 126,770 33,505 DIRECTV GROUP INCORPORATED+<< 829,584 11,582 DISH TV INDIA LIMITED+ 11,315 23,530 ECHOSTAR CORPORATION+ 436,482 1,150 EGYPTIAN COMPANY FOR MOBILE SERVICES 44,768 4,050 ELISA OYJ 79,892 9,059 EMPRESA NACIONAL DE TELECOMUNICACIONES SA 115,497 1,800 ENIRO AB 9,078 9,427 EQUINIX INCORPORATED+<< 794,319 2,126 EUTELSAT COMMUNICATIONS+ 56,842 93,664 FAIRFAX MEDIA LIMITED 116,372 1,758 FAIRPOINT COMMUNICATIONS INCORPORATED<< 1,424 156,722 FAR EASTONE TELECOMMUNICATIONS COMPANY LIMITED 176,879 325 FASTWEB+ 8,606 Wells Fargo Advantage Master Portfolios 115 Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - --------------- ------------- -------------- COMMUNICATIONS (continued) 50,146 FRANCE TELECOM SA $ 1,275,325 11,264 FRANCE TELECOM SA ADR<< 289,935 2,070 GLOBE TELECOM INCORPORATED 42,847 199,002 GRUPO TELEVISA SA 696,956 15,586 GTL INFRASTRUCTURE LIMITED+ 12,290 5,840 HELLENIC TELECOMMUNICATIONS ORGANIZATION SA 89,583 2,000 HITACHI KOKUSAI ELECTRIC INCORPORATED 14,444 10,014 HURRIYET GAZETECILIK VE MATBAACILIK AS 10,481 58,000 HUTCHISON TELECOMMUNICATIONS HONG KONG HOLDINGS LIMITED 9,130 27,815 IAC INTERACTIVECORP+<< 515,134 600 ICOM INCORPORATED 14,218 98,373 IDEA CELLULAR LIMITED+ 163,401 5,123 INDEPENDENT NEWS & MEDIA PLC 2,056 12,097 INMARSAT PLC 102,602 65,116 ITV PLC 51,656 26,929 J2 GLOBAL COMMUNICATIONS INCORPORATED+ 575,473 4,000 JAPAN RADIO COMPANY LIMITED 10,059 146 JUPITER TELECOMMUNICATIONS COMPANY LIMITED 127,093 144 KDDI CORPORATION 818,657 3,000 KEPPEL TELECOMMUNICATIONS & TRANSPORTATION LIMITED 2,956 19,114 KINGSTON COMMUNICATIONS (HULL) PLC 8,713 12,541 KT CORPORATION 391,636 2,900 LAGARDERE SCA 124,890 13,742 LEAP WIRELESS INTERNATIONAL INCORPORATED+ 226,606 435,500 LEVEL 3 COMMUNICATIONS INCORPORATED+ 522,600 32,435 LIBERTY GLOBAL INCORPORATED+<< 703,515 33,310 LIBERTY GLOBAL INCORPORATED SERIES A+ 729,156 25,122 LIBERTY MEDIA CORPORATION ENTERTAINMENT CLASS A+ 700,653 155,309 LIBERTY MEDIA HOLDING CORPORATION INTERACTIVE SERIES A+<< 1,487,860 1,305 M6 METROPOLE TELEVISION 29,616 36,088 MAGYAR TELEKOM PLC 146,106 8,074 MAHANAGAR TELEPHONE NIGAM LIMITED 15,718 1,345 MANITOBA TELECOM SERVICES INCORPORATED 40,163 20,000 MATSUNICHI COMMUNICATION HOLDINGS LIMITED 7,483 18,410 MEDIASET SPA 121,077 5,343 MICRO FOCUS INTERNATIONAL PLC 32,879 21,400 MOBILONE LIMITED 25,396 705 MOBISTAR SA 45,380 5,673 MPHASIS LIMITED 64,695 86,517 MTN GROUP LIMITED 1,417,947 4,226 MULTIMEDIA POLSKA SA+ 13,307 18,645 NEUSTAR INCORPORATED CLASS A+ 432,191 4,405 NICE SYSTEMS LIMITED+ 121,333 41,631 NII HOLDINGS INCORPORATED+ 987,071 21,100 NIPPON TELEGRAPH & TELEPHONE CORPORATION 943,321 759 NTT DOCOMO INCORPORATED 1,168,884 30,114 NTT DOCOMO INCORPORATED ADR<< 462,852 6 OKINAWA CELLULAR TELEPHONE COMPANY 11,897 33,987 ORASCOM TELECOM HOLDING SAE 224,571 5,768 PARTNER COMMUNICATIONS 109,573 6,160 PHILIPPINE LONG DISTANCE TELEPHONE COMPANY 318,131 11,676 PORTUGAL TELECOM SGPS SA 120,687 43,056 POWER GRID CORPORATION OF INDIA LIMITED 94,886 786 PROSIEBENSAT.1 MEDIA AG 7,257 67,000 PT INDONESIAN SATELLITE CORPORATION TBK 34,896 4,342 PT MULTIMEDIA SERVICOS DE TELECOMUNICACOES E MULTIMEDIA SGPS SA 25,953 116 Wells Fargo Advantage Master Portfolios Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - --------------- ------------- -------------- COMMUNICATIONS (continued) 3,121 PUBLICIS GROUPE $ 114,766 381,600 QWEST COMMUNICATIONS INTERNATIONAL INCORPORATED<< 1,369,944 320 RAKUTEN INCORPORATED 193,272 15,566 REED ELSEVIER NV 164,890 29,549 REED ELSEVIER PLC 215,026 32,828 RELIANCE COMMUNICATIONS LIMITED<<++ 175,082 37,034 RENTOKIL INITIAL PLC 66,017 12,300 ROGERS COMMUNICATIONS INCORPORATED 338,636 45,607 ROYAL KPN NV 700,248 543 RTL GROUP 31,372 379,400 SAMART CORPORATION PCL 68,607 24,433 SAVVIS INCORPORATED+<< 414,384 29,097 SBA COMMUNICATIONS CORPORATION+<< 701,529 259 SEAT PAGINE GIALLE SPA 67 7,746 SES FDR 151,746 10,100 SHAW COMMUNICATIONS INCORPORATED CLASS B 173,354 188,600 SHIN SATELLITE PCL+ 41,591 329,100 SINGAPORE TELECOMMUNICATIONS LIMITED 717,148 2,844 SK TELECOM COMPANY LIMITED 398,511 4,812 SKY NETWORK TELEVISION LIMITED 14,530 92 SKY PERFECT JSAT HOLDINGS INCORPORATED 37,225 2,743 SOCIETE TELEVISION FRANCAISE 1 44,397 141,660 SPRINT NEXTEL CORPORATION+<< 518,476 19,000 STARHUB LIMITED 29,009 615 SWISSCOM AG 212,570 42,066 SYNIVERSE HOLDINGS INCORPORATED+ 751,719 244,447 TAIWAN MOBILE COMPANY LIMITED 383,938 3,567 TATA COMMUNICATIONS LIMITED 36,715 26,818 TATA TELESERVICES MAHARASHTRA LIMITED+ 18,510 447 TDC AS 15,497 8,554 TELE NORTE LESTE PARTICIPACOES SA 159,261 7,556 TELE2 AB 104,873 2,951 TELECOM ARGENTINA SA ADR+ 43,763 87,403 TELECOM CORPORATION OF NEW ZEALAND LIMITED 164,946 29,170 TELECOM EGYPT 96,635 148,477 TELECOM ITALIA RNC SPA 168,158 268,323 TELECOM ITALIA SPA 433,524 115,100 TELECOM MALAYSIA BHD 101,977 800 TELECOMUNICACOES DE SAO PAULO SA 15,790 1,200 TELEFONAKTIEBOLAGET LM ERICSSON 11,396 79,778 TELEFONAKTIEBOLAGET LM ERICSSON CLASS B 763,211 39,044 TELEFONICA DEL PERU SAA 31,716 109,373 TELEFONICA SA 2,758,080 448,936 TELEFONOS DE MEXICO SA DE CV 419,210 8,935 TELEKOM AUSTRIA AG 156,145 52,983 TELEKOMUNIKACJA POLSKA SA 298,454 1,578 TELEMAR NORTE LESTE SA 43,103 1,208 TELENET GROUP HOLDING NV+ 28,757 20,400 TELENOR ASA 191,708 12,693 TELEPHONE & DATA SYSTEMS INCORPORATED 334,714 57,151 TELIASONERA AB 370,920 15,846 TELKOM SOUTH AFRICA LIMITED 88,421 168,612 TELSTRA CORPORATION LIMITED 464,586 3,543 TELUS CORPORATION 109,874 3,600 TELUS CORPORATION (NON-VOTING) 106,709 35,000 TENCENT HOLDINGS LIMITED 520,679 Wells Fargo Advantage Master Portfolios 117 Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - --------------- ------------- -------------- COMMUNICATIONS (continued) 44,700 TIM PARTICIPACOES SA $ 94,869 17,970 TIME WARNER CABLE INCORPORATED+ 663,452 5,886 TISCALI SPA+ 2,831 255,150 TM INTERNATIONAL SDN BHD+ 228,233 2,200 TOKYO BROADCASTING SYSTEM INCORPORATED 38,326 2,973 TRINITY MIRROR PLC 6,655 262,500 TRUE CORPORATION PCL+ 18,524 270,800 TT&T PCL+ 5,016 56,702 TURKCELL ILETISIM HIZMETLERI AS 368,538 300 TV TOKYO CORPORATION 8,721 93,111 TW TELECOM INCORPORATED+<< 1,066,121 5,563 UNITED BUSINESS MEDIA LIMITED 41,987 2,393 UNITED INTERNET AG 33,826 3,683 UNITED STATES CELLULAR CORPORATION+ 134,466 147,624 VERIZON COMMUNICATIONS INCORPORATED 4,582,249 33,569 VIVENDI SA 956,241 11,377 VIVO PARTICIPACOES SA 258,845 15,846 VODACOM GROUP PTY LIMITED+ 117,325 1,436,722 VODAFONE GROUP PLC 3,106,073 31,716 VODAFONE GROUP PLC ADR<< 688,872 8,000 VTECH HOLDINGS LIMITED 63,480 2,450 WH SMITH PUBLIC LIMITED CORPORATION 17,593 120,979 WINDSTREAM CORPORATION 1,036,790 11,533 YELL GROUP PLC+ 8,637 23,446 ZINWELL CORPORATION 43,093 18,635 ZYXEL COMMUNICATIONS CORPORATION 10,700 79,781,000 -------------- COMPUTER SOFTWARE & SERVICES: 0.00% 5,996 ROLTA INDIA LIMITED 21,933 900 TECMO KOEI HOLDINGS COMPANY LIMITED 7,525 29,458 -------------- COMPUTER TECHNOLOGIES: 0.00% 6 INTERNET INITIATIVE JAPAN INCORPORATED 14,354 1,378 UBISOFT ENTERTAINMENT+ 24,536 38,890 -------------- COMPUTERS & OFFICE EQUIPMENT: 0.00% 243,600 CALCOMP ELECTRONICS PCL THB 24,496 -------------- CONSTRUCTION: 0.01% 10,552 ANANT RAJ INDUSTRIES LIMITED 31,769 489 BUDIMEX SA 12,661 2,324 GRASIM INDUSTRIES LIMITED 127,678 10,493 HOUSING & CONSTRUCTION HOLDINGS LIMITED 17,546 189,654 -------------- CONSTRUCTION SPECIAL TRADE CONTRACTORS: 0.22% 1,600 BOSKALIS WESTMINSTER 50,325 13,751 CHEMED CORPORATION 598,719 158,000 CHINA RAILWAY CONSTRUCTION CORPORATION 233,623 40,170 EMCOR GROUP INCORPORATED+ 930,739 155 FLUGHAFEN WIEN AG 6,555 148,138 HKC HOLDINGS LIMITED 10,895 118 Wells Fargo Advantage Master Portfolios Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - --------------- ------------- -------------- CONSTRUCTION SPECIAL TRADE CONTRACTORS (continued) 32,799 INSITUFORM TECHNOLOGY INCORPORATED+<< $ 628,101 22,390 IRB INFRASTRUCTURE DEVELOPERS LIMITED 100,451 10,239 IVRCL INFRASTRUCTURES & PROJECTS LIMITED 76,103 11 KOBENHAVNS LUFTHAVNE 2,434 6,381 ORASCOM CONSTRUCTION INDUSTRIES 270,583 49,424 QUANTA SERVICES INCORPORATED+ 1,093,259 63,108 STEINHOFF INTERNATIONAL HOLDINGS LIMITED 141,313 1,110 WELLSTREAM HOLDINGS PLC 8,865 4,151,965 -------------- CONSTRUCTION-JAPAN: 0.00% 2,000 TAIHEI DENGYO KAISHA LIMITED 23,579 -------------- CONSULTING SERVICES: 0.02% 13,413 COMPAGNIE FINANCIERE RICHEMONT SA 365,061 835 POYRY OYJ 14,197 6,219 SAI GLOBAL LIMITED 17,556 2,690 SAVILLS PLC 15,765 412,579 -------------- CONSUMER SERVICES: 0.04% 1,270 HAKUHODO DY HOLDINGS INCORPORATED 70,563 6,761 LVMH MOET HENNESSY LOUIS VUITTON SA 646,402 716,965 -------------- DEPOSITORY INSTITUTIONS: 8.55% 16,000 77 BANK LIMITED 96,636 45,635 ABSA GROUP LIMITED 743,523 27,900 AFFIN HOLDINGS BHD 15,053 42,171 AFRICAN BANK INVESTMENTS LIMITED 156,390 3,420 AGRICULTURAL BANK OF GREECE 7,894 81,934 AKBANK TAS 469,724 7,938 ALLAHABAD BANK 14,429 19,613 ALLIED IRISH BANKS PLC 75,073 9,530 ALPHA BANK AE 157,800 130,301 AMMB HOLDINGS BHD 152,076 10,732 ANDHRA BANK 19,662 16,925 ANGLO IRISH BANK CORPORATION PLC(a) 0 37,000 AOZORA BANK LIMITED 54,874 30,357 ASSOCIATED BANC-CORP<< 314,802 76,569 ASTORIA FINANCIAL CORPORATION 788,661 30,351 ASYA KATILIM BANKASI AS+ 56,247 101,954 AUSTRALIA & NEW ZEALAND BANKING GROUP LIMITED 1,834,594 16,269 AXIS BANK LIMITED 301,655 19,667 BANCA CARIGE SPA 59,491 75,765 BANCA MONTE DEI PASCHI DI SIENA SPA 159,233 4,362 BANCA PICCOLO CREDITO VALTELLINESE SCARL 45,681 9,226 BANCA POPOLARE DI MILANO SCARL 69,505 98,941 BANCO BILBAO VIZCAYA ARGENTARIA SA 1,757,432 9,820 BANCO BILBAO VIZCAYA ARGENTARIA SA ADR 174,696 8,813 BANCO BPI SA 26,583 34,049 BANCO BRADESCO SA 448,039 81,406 BANCO COMERCIAL PORTUGUES SA 106,551 1,049,717 BANCO DE CHILE 75,826 2,804 BANCO DE CREDITO DEL PERU 8,656 4,546 BANCO DE CREDITO E INVERSIONES 126,438 Wells Fargo Advantage Master Portfolios 119 Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - --------------- ------------- -------------- DEPOSITORY INSTITUTIONS (continued) 63,366 BANCO DE ORO $ 46,101 26,683 BANCO DE SABADE 201,211 6,940 BANCO DE VALENCIA SA 69,640 53,368 BANCO DO BRASIL SA 745,572 1,639 BANCO ESPANOL DE CREDITO SA 21,970 15,302 BANCO ESPIRITO SANTO SA 100,693 1,156 BANCO GUIPUZCOANO SA 9,945 10,925 BANCO ITAU HOLDING FINANCEIRA SA 153,035 2,243 BANCO MACRO SA<< 50,490 1,725 BANCO PASTOR SA 15,100 16,981 BANCO POPOLARE SPA+ 150,447 21,043 BANCO POPULAR ESPANOL SA 226,553 215,296 BANCO SANTANDER CENTRAL HISPANO SA 3,313,362 66,478 BANCO SANTANDER CENTRAL HISPANO SA ADR<< 1,025,757 4,041,047 BANCO SANTANDER CHILE SA 199,225 67,761 BANCORPSOUTH INCORPORATED<< 1,558,503 31,000 BANGKOK BANK PCL (NON VOTING) 100,265 899,500 BANK CENTRAL ASIA TBK PT 379,253 1,985 BANK HANDLOWY W WARSZAWIE SA 44,101 95,637 BANK LEUMI LE-ISRAEL 327,143 475,500 BANK MANDIRI PERSERO TBK PT 193,408 13,321 BANK MILLENNIUM SA 23,304 210,000 BANK NIAGA 14,375 395,966 BANK OF AMERICA CORPORATION 6,965,042 84,100 BANK OF AYUDHYA PCL 44,016 12,584 BANK OF BARODA 111,510 2,539,000 BANK OF CHINA LIMITED 1,235,029 75,111 BANK OF EAST ASIA LIMITED 242,280 379 BANK OF GREECE 23,857 29,804 BANK OF HAWAII CORPORATION 1,175,768 12,025 BANK OF INDIA 83,344 20,928 BANK OF IRELAND 75,006 16,000 BANK OF KYOTO LIMITED 155,443 14,100 BANK OF MONTREAL 682,622 60,546 BANK OF NEW YORK MELLON CORPORATION 1,792,767 26,400 BANK OF NOVA SCOTIA 1,105,918 8,024 BANK OF QUEENSLAND LIMITED 79,009 97,700 BANK OF THE PHILIPPINE ISLANDS 90,101 1,400 BANK OF THE RYUKYUS LIMITED 19,424 65,000 BANK OF YOKOHAMA LIMITED 366,738 8,038 BANK PEKAO SA 410,597 309 BANK PRZEMYSLOWO HANDLOWY PBK 7,600 370,500 BANK RAKYAT INDONESIA 279,345 677 BANK SARASIN & CIE AG 25,030 3,417 BANK ZACHODNI WBK SA 161,396 6,776 BANKINTER SA 90,050 42 BANQUE CANTONALE VAUDOISE WAADTLAENDER KANTONALBANK 15,628 3 BANQUE NATIONALE DE BELGIQUE 11,397 295,994 BARCLAYS PLC 1,832,285 32,420 BB&T CORPORATION<< 905,815 5,903 BBVA BANCO FRANCES SA<< 32,171 11,533 BENDIGO BANK LIMITED 80,906 15,636 BNP PARIBAS ADR 629,349 22,994 BNP PARIBAS SA 1,851,611 167,500 BOC HONG KONG HOLDINGS LIMITED 335,845 6,174 BOK FINANCIAL CORPORATION<< 279,312 120 Wells Fargo Advantage Master Portfolios Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - --------------- ------------- -------------- DEPOSITORY INSTITUTIONS (continued) 657 BRE BANK SA $ 57,467 172,500 BUMIPUTRA COMMERCE HOLDINGS BHD 487,399 16,051 BUSAN BANK 144,586 10,000 CANADIAN IMPERIAL BANK OF COMMERCE 586,892 739 CANADIAN WESTERN BANK 12,488 8,250 CANARA BANK 44,988 4,900 CAPITOL FEDERAL FINANCIAL<< 157,437 42,852 CATHAY GENERAL BANCORP<< 395,952 311,000 CHANG HWA COMMERCIAL BANK 129,912 41,000 CHIBA BANK LIMITED 258,205 8,282 CHINA BANKING CORPORATION 68,320 341,000 CHINA CITIC BANK 205,468 775,161 CHINA DEVELOPMENT FINANCIAL HOLDING CORPORATION+ 178,739 32,000 CHINA EVERBRIGHT LIMITED 75,392 275,990 CHINA MERCHANTS BANK COMPANY LIMITED 601,089 5,000 CHUKYO BANK LIMITED THE 15,744 577,900 CITIGROUP INCORPORATED<< 2,889,500 11,569 CITY NATIONAL CORPORATION<< 456,976 41,698 COMERICA INCORPORATED 1,112,086 17,664 COMMERCIAL INTERNATIONAL BANK 172,933 19,915 COMMERZBANK AG 183,864 71,716 COMMONWEALTH BANK OF AUSTRALIA 2,788,264 16,826 COSMOS BANK TAIWAN+ 1,789 137 CREDIT AGRICOLE D'ILE DE F 10,979 28,033 CREDIT AGRICOLE SA 519,234 1,169 CREDITO EMILIANO SPA 7,248 8,144 DAEGU BANK 94,880 8,000 DAH SING BANKING GROUP LIMITED 9,187 5,231 DAH SING FINANCIAL HOLDINGS LIMITED 28,077 12,040 DANSKE BANK 323,491 78,500 DBS GROUP HOLDINGS LIMITED 688,601 16,758 DEUTSCHE BANK AG 1,137,557 2,312 DEUTSCHE POSTBANK AG 82,067 17,233 DEXIA 147,417 19,400 DNB NOR ASA 198,268 156,395 E.SUN FINANCIAL HOLDING COMPANY LIMITED 48,463 73,992 EAST WEST BANCORP INCORPORATED<< 681,466 6,949 EFG EUROBANK ERGASIAS SA 97,429 16,242 EGYPTIAN FINANCIAL GROUP-HERMES HOLDING 83,811 640 EMPORIKI BANK OF GREECE SA+ 5,725 63,977 ENTIE COMMERCIAL BANK+ 15,724 16,500 EON CAPITAL BHD 23,849 5,294 ERSTE BANK DER OESTERREICHISCHEN SPARKASSEN AG 224,346 87,000 FAR EASTERN INTERNATIONAL BANK(a) 18,713 16,000 FERROCHINA LIMITED(a) 0 158,929 FIFTH THIRD BANCORP 1,738,683 58,438 FIRST BANCORP (PUERTO RICO)<< 186,417 185,928 FIRST HORIZON NATIONAL CORPORATION+<< 2,487,710 41,417 FIRST MIDWEST BANCORP INCORPORATED<< 424,938 126,169 FIRST NIAGARA FINANCIAL GROUP INCORPORATED 1,650,291 71,900 FIRSTMERIT CORPORATION 1,292,050 196,102 FIRSTRAND LIMITED 400,296 96,396 FNB CORPORATION PA 682,484 49,425 FORTIS 211,435 436,000 FUBON FINANCIAL HOLDING COMPANY LIMITED 407,303 38,000 FUKUOKA FINANCIAL GROUP INCORPORATED 170,704 Wells Fargo Advantage Master Portfolios 121 Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - --------------- ------------- -------------- DEPOSITORY INSTITUTIONS (continued) 152,235 FULTON FINANCIAL CORPORATION $ 1,117,405 20,089 GETIN HOLDING SA+ 62,555 1,626 GREEK POSTAL SAVINGS BANK 12,145 79,679 GRUPO SECURITY SA 21,799 22,000 GUNMA BANK LIMITED 124,363 17,064 HANA FINANCIAL GROUP INCORPORATED 447,471 15,952 HANCOCK HOLDING COMPANY<< 611,121 34,000 HANG SENG BANK LIMITED 482,991 9,352 HDFC BANK LIMITED 281,753 4,397 HDFC BANK LIMITED ADR<< 433,148 5,000 HIGASHI-NIPPON BANK LIMITED 11,607 62,000 HOKUHOKU FINANCIAL GROUP INCORPORATED 154,584 479 HOME CAPITAL GROUP INCORPORATED 16,872 66,300 HONG LEONG BANK BHD 112,963 6,000 HONG LEONG SINGAPORE FINANCE LIMITED 11,909 68,900 HONG LOENG FINANCIAL GROUP BHD 101,741 468,396 HSBC HOLDINGS PLC 5,124,929 201,715 HUA NAN FINANCIAL HOLDINGS COMPANY LIMITED 109,693 131,652 HUDSON CITY BANCORP INCORPORATED 1,727,274 146,996 HUNTINGTON BANCSHARES INCORPORATED 670,302 28,013 ICICI BANK LIMITED 430,967 17,440 ICICI BANK LIMITED ADR 532,269 3,899 INDIAN BANK 10,928 9,647 INDIAN OVERSEAS BANK 16,637 4,852,103 INDUSTRIAL & COMMERCIAL BANK OF CHINA CLASS H 3,311,759 12,140 INDUSTRIAL BANK OF KOREA 131,227 239 ING BANK SLASKI SA 48,667 46,403 INTERNATIONAL BANCSHARES CORPORATION<< 716,462 257,129 INTESA SANPAOLO 1,114,162 20,149 INTESA SANPAOLO RNC 65,715 7,917 IOOF HOLDINGS LIMITED 30,381 32,895 ISRAEL DISCOUNT BANK LIMITED+ 57,604 5,000 JACCS COMPANY LIMITED 12,681 9,647 JARDINE STRATEGIC HOLDINGS LIMITED 159,754 35,000 JOYO BANK LIMITED 179,044 193,177 JPMORGAN CHASE & COMPANY 8,395,472 5,595 JULIUS BAER HOLDING AG 284,532 6,000 KANSAI URBAN BANKING CORPORATION 9,737 39,000 KASIKORNBANK PCL THB 83,137 3,881 KBC GROEP NV 145,355 210,450 KEYCORP 1,401,595 6,000 KIATNAKIN FINANCE 3,317 32,000 KIYO HOLDINGS 40,924 21,400 KOREA EXCHANGE BANK 191,056 2,804 KOREA INVESTMENT HOLDINGS COMPANY LIMITED 80,377 13,206 KOTAK MAHINDRA BANK LIMITED 193,715 1,838 KREDYT BANK SA 6,945 31,800 KRUNG THAI BANK PCL 8,041 127,400 KRUNG THAI BANK PCL ADR 32,403 377 LAURENTIAN BANK OF CANADA 13,003 178 LIECHTENSTEIN LANDESBANK 11,145 6,000 LIU CHONG HING BANK LIMITED 10,436 378,865 LLOYDS TSB GROUP PLC 686,714 3,708 LLOYDS TSB GROUP PLC ADR<< 26,513 19,721 M&T BANK CORPORATION 1,217,969 13,100 MACQUARIE GROUP LIMITED 562,464 122 Wells Fargo Advantage Master Portfolios Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - --------------- ------------- -------------- DEPOSITORY INSTITUTIONS (continued) 208,256 MALAYAN BANKING BHD $ 384,992 134,800 MALAYSIAN PLANTATIONS BHD 91,487 89,102 MARSHALL & ILSLEY CORPORATION 634,406 11,007 MEDIOBANCA SPA 151,012 607,000 MEGA FINANCIAL HOLDING COMPANY LIMITED 302,426 550,070 MITSUBISHI UFJ FINANCIAL GROUP INCORPORATED 3,511,462 52,000 MITSUI TRUST HOLDINGS INCORPORATED 219,065 5,000 MIYAZAKI BANK LIMITED 21,118 664,900 MIZUHO FINANCIAL GROUP INCORPORATED 1,629,202 65,000 MIZUHO TRUST & BANKING COMPANY LIMITED 83,826 91,041 NATIONAL AUSTRALIA BANK LIMITED 2,191,477 4,200 NATIONAL BANK OF CANADA 235,752 16,013 NATIONAL BANK OF GREECE SA 501,597 24,348 NATIONAL BANK OF GREECE SA ADR<< 155,584 72,879 NATIONAL PENN BANCSHARES INCORPORATED<< 408,122 19,210 NATIXIS 87,549 12,334 NEDBANK GROUP LIMITED 182,755 94,718 NEW YORK COMMUNITY BANCORP INCORPORATED<< 1,007,800 86,613 NEWALLIANCE BANCSHARES INCORPORATED 1,018,569 1,100 NIS GROUP COMPANY LIMITED 497 34,000 NISHI-NIPPON CITY BANK LIMITED 90,618 74,074 NORDEA BANK AB 775,241 4,039 NORTHERN ROCK PLC 5,918 16,300 NORTHERN TRUST CORPORATION 952,898 4,868 OKO BANK 56,254 61,182 OLD NATIONAL BANCORP 650,976 14,000 ORIENT CORPORATION 15,347 4,403 ORIENTAL BANK OF COMMERCE 16,656 19,303 OTP BANK NYRT 497,968 103,927 OVERSEA-CHINESE BANKING CORPORATION LIMITED 558,239 22,176 PACWEST BANCORP<< 437,089 33,100 PHATRA SECURITIES PCL 17,324 7,363 PIRAEUS BANK SA 115,696 36,517 PKO BANK POLSKI SA 451,009 22,687 PNC FINANCIAL SERVICES GROUP 966,239 203,859 POPULAR INCORPORATED 438,297 40,131 PROSPERITY BANCSHARES INCORPORATED<< 1,385,723 47,323 PROVIDENT FINANCIAL SERVICES INCORPORATED 521,499 153,394 PT BANK DANAMON INDONESIA TBK 71,523 264,000 PT BANK PAN INDONESIA TBK 19,119 148,937 PUBLIC BANK BHD 420,821 9,630 PUNJAB NATIONAL BANK LIMITED 134,603 1,008 RAIFFEISEN INTERNATIONAL BANK HOLDINGS 53,251 301,366 REGIONS FINANCIAL CORPORATION 1,766,005 26,800 RESONA HOLDINGS INCORPORATED 365,494 73,600 RHB CAPITAL BHD 98,858 48,041 RMB HOLDINGS LIMITED 163,338 35,700 ROYAL BANK OF CANADA 1,840,845 410,564 ROYAL BANK OF SCOTLAND GROUP PLC 385,319 12,000 SAPPORO HOLDINGS 43,589 4,996 SBERBANK(a) 740,907 1,800 SCOTIABANK PERU SA 73,731 22,933 SEKERBANK TAS+ 37,301 10,000 SENSHU BANK LIMITED 20,956 31 SEVEN BANK LIMITED 78,658 12,000 SHIGA BANK 76,862 Wells Fargo Advantage Master Portfolios 123 Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - --------------- ------------- -------------- DEPOSITORY INSTITUTIONS (continued) 300 SHIMIZU BANK LIMITED THE $ 11,961 384,878 SHIN KONG FINANCIAL HOLDING COMPANY LIMITED 132,126 52,000 SHINSEI BANK LIMITED 88,297 33,000 SHIZUOKA BANK LIMITED 344,363 107,800 SIAM CITY BANK PCL 68,465 21,500 SIAM COMMERCIAL BANK PCL 48,677 549,000 SINOPAC FINANCIAL HOLDINGS COMPANY LIMITED 164,617 45,240 SKANDINAVISKA ENSKILDA BANKEN AB CLASS A 317,766 1,713 SNS REAAL 13,197 490,509 SOCIEDAD MATRIZ BANCO DE CHILE CLASS B 48,940 15,331 SOCIETE GENERALE 1,235,421 19,733 SOCIETE GENERALE ADR<< 318,490 93,171 STANDARD BANK GROUP LIMITED 1,203,634 62,061 STANDARD CHARTERED PLC 1,410,419 8,421 STATE BANK OF INDIA LIMITED 300,603 5,484 STATE BANK OF INDIA LIMITED GDR++ 391,524 71,769 STERLING BANCSHARES INCORPORATED (TEXAS) 570,564 47,500 SUMITOMO MITSUI FINANCIAL GROUP INCORPORATED 2,047,009 79,000 SUMITOMO TRUST & BANKING COMPANY LIMITED 483,084 62,151 SUNCORP-METWAY LIMITED 411,311 23,790 SUNTRUST BANKS INCORPORATED 555,972 12,000 SURUGA BANK LIMITED 117,614 73,292 SUSQUEHANNA BANCSHARES INCORPORATED<< 428,025 20,244 SVB FINANCIAL GROUP+<< 804,699 12,500 SVENSKA HANDELSBANKEN 327,494 9,300 SWEDBANK AB 97,332 1,010 SYDBANK AG 28,304 7,938 SYNDICATE BANK 12,909 16,000 SYNEAR FOOD HOLDINGS LIMITED 3,720 237,617 SYNOVUS FINANCIAL CORPORATION<< 879,183 91,000 TA CHONG BANK LIMITED+ 13,823 364,000 TAISHIN FINANCIAL HOLDINGS COMPANY LIMITED 120,535 153,000 TAIWAN BUSINESS BANK+ 35,791 31,546 TCF FINANCIAL CORPORATION<< 434,073 15,516 THANACHART CAPITAL PCL 6,706 400 THE AICHI BANK LIMITED 36,582 8,000 THE AKITA BANK LIMITED 32,327 8,000 THE AOMORI BANK LIMITED 32,843 10,000 THE AWA BANK LIMITED 59,860 1,300 THE BANK OF IKEDA LIMITED 49,876 700 THE BANK OF IWATE LIMITED 40,999 9,000 THE BANK OF NAGOYA LIMITED 40,817 900 THE BANK OF OKINAWA LIMITED 35,594 6,000 THE BANK OF SAGA LIMITED 20,699 1,400 THE CHIBA KOGYO BANK LIMITED+ 12,067 11,000 THE CHUGOKU BANK LIMITED 148,361 8,000 THE DAISAN BANK LIMITED 20,118 16,000 THE DAISHI BANK LIMITED 66,029 5,000 THE EHIME BANK LIMITED 14,401 6,000 THE EIGHTEENTH BANK LIMITED 19,538 10,000 THE FUKUI BANK LIMITED 33,530 25,000 THE HACHIJUNI BANK LIMITED 143,471 14,000 THE HIGO BANK LIMITED 90,425 29,000 THE HIROSHIMA BANK LIMITED 123,729 11,000 THE HOKKOKU BANK LIMITED 42,085 8,000 THE HOKUETSU BANK LIMITED 16,249 124 Wells Fargo Advantage Master Portfolios Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - --------------- ------------- -------------- DEPOSITORY INSTITUTIONS (continued) 12,000 THE HYAKUGO BANK LIMITED $ 62,805 14,000 THE HYAKUJUSHI BANK LIMITED 68,759 15,000 THE IYO BANK LIMITED 147,179 18,000 THE JUROKU BANK LIMITED 67,319 3,000 THE KAGAWA BANK LIMITED 12,767 8,000 THE KAGOSHIMA BANK LIMITED 64,739 2,400 THE KANTO TSUKUBA BANK LIMITED 8,202 12,000 THE KEIYO BANK LIMITED 65,126 5,000 THE MICHINOKU BANK LIMITED 11,123 4,000 THE MIE BANK LIMITED 14,401 7,000 THE MINATO BANK LIMITED 10,081 1,500 THE MUSASHINO BANK LIMITED 53,197 12,000 THE NANTO BANK LIMITED 70,672 14,000 THE OGAKI KYORITSU BANK LIMITED 56,120 6,000 THE OITA BANK LIMITED 26,308 8,000 THE SAN-IN GODO BANK LIMITED 73,939 9,000 THE SHIKOKU BANK LIMITED 33,563 5,000 THE TOCHIGI BANK LIMITED 26,652 9,000 THE TOHO BANK LIMITED 41,107 3,000 THE TOKUSHIMA BANK LIMITED 15,895 2,682,765 TMB BANK PCL+ 83,615 1,700 TOKYO TOMIN BANK LIMITED 30,876 22,431 TORONTO-DOMINION BANK 1,386,737 64,508 TRUSTCO BANK CORPORATION NEW YORK SHARES 401,240 43,809 TRUSTMARK CORPORATION 833,685 183,439 TURKIYE GARANTI BANKASI AS 678,679 79,271 TURKIYE IS BANKASI 314,422 38,213 TURKIYE VAKIFLAR BANKASI TAO 84,572 20,481 UMB FINANCIAL CORPORATION 819,854 68,951 UMPQUA HOLDINGS CORPORATION<< 710,885 427,703 UNICREDITO ITALIANO SPA 1,549,758 16,689 UNION BANK HONG KONG 33,634 15,166 UNION BANK OF INDIA 66,410 16,423 UNIONE DI BANCHE SCPA 248,156 35,746 UNITED BANKSHARES INCORPORATED 701,694 40,236 UNITED COMMUNITY BANKS INCORPORATED+<< 271,190 8,324 UNITED MIZRAHI BANK LIMITED+ 63,282 59,000 UNITED OVERSEAS BANK LIMITED 683,785 89,663 US BANCORP 2,028,177 383 VALIANT HOLDING AG 72,954 36,099 VALLEY NATIONAL BANCORP 420,914 62 VERWALTUNGS-UND PRIVAT-BANK AG 6,710 361 VONTOBEL HOLDINGS AG 12,563 76,405 WASHINGTON FEDERAL INCORPORATED 1,133,850 44,732 WEBSTER FINANCIAL CORPORATION 584,647 233,020 WELLS FARGO & COMPANY(l) 6,412,710 17,837 WESTAMERICA BANCORPORATION 917,357 47,796 WESTERN UNION COMPANY 862,240 141,640 WESTPAC BANKING CORPORATION 2,917,437 58,710 WHITNEY HOLDING CORPORATION<< 528,977 60,141 WILMINGTON TRUST CORPORATION<< 843,778 8,500 WING HANG BANK LIMITED 76,770 20,227 WINTRUST FINANCIAL CORPORATION<< 559,681 8,000 YAMAGATA BANK LIMITED 45,223 12,000 YAMAGUCHI FINANCIAL GROUP 137,861 Wells Fargo Advantage Master Portfolios 125 Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - --------------- ------------- -------------- DEPOSITORY INSTITUTIONS (continued) 8,719 YES BANK LIMITED+ $ 29,903 29,400 ZIONS BANCORPORATION<< 519,498 165,189,748 -------------- DIVERSIFIED OPERATIONS: 0.04% 23,219 BOUSTEAD HOLDINGS BHD 23,407 278,043 CHINA RARE EARTH HOLDINGS LIMITED 50,583 101,000 HUTCHISON WHAMPOA LIMITED 710,217 20,000 MELCO INTERNATIONAL DEVELOPMENT LIMITED 11,948 796,155 -------------- DURABLE GOODS - CONSUMER: 0.00% 52,322 GOODMAN FIELDER LIMITED 68,103 -------------- E-COMMERCE/SERVICES: 0.09% 21,027 AMAZON.COM INCORPORATED+<< 1,707,182 -------------- EATING & DRINKING PLACES: 0.61% 1,965 AUTOGRILL SPA 22,114 26,896 BOB EVANS FARMS INCORPORATED 722,696 87,555 BRINKER INTERNATIONAL INCORPORATED 1,274,801 21,200 BURGER KING HOLDINGS INCORPORATED 380,116 5,476 C&C GROUP PLC 20,411 13,885 CEC ENTERTAINMENT INCORPORATED+ 371,424 49,130 CHEESECAKE FACTORY INCORPORATED+<< 902,518 3,298 CHIPOTLE MEXICAN GRILL INCORPORATED+<< 276,636 4,292 CHIPOTLE MEXICAN GRILL INCORPORATED CLASS B+ 319,153 11,982 ENTERPRISE INNS PLC 32,400 16,692 FU JI FOOD & CATERING SERVICES HOLDINGS LIMITED(a) 15,722 6,382 HEINEKEN NV 269,401 2,300 ITO EN LIMITED 42,193 34,859 JACK IN THE BOX INCORPORATED+ 710,775 800 KISOJI COMPANY LIMITED 17,668 7,875 MARSTON'S PLC 13,718 52,414 MCDONALD'S CORPORATION 2,947,763 8,243 MITCHELLS & BUTLERS PLC 38,178 547 OBRASCON HUARTE LAIN SA 14,272 12,000 PAPA JOHN'S INTERNATIONAL INCORPORATED+<< 279,960 13,540 PF CHANG'S CHINA BISTRO INCORPORATED+<< 432,061 8,154 PUNCH TAVERNS PLC 17,443 5,909 RESTAURANT GROUP PLC 18,373 25,001 SABMILLER PLC 580,387 2,000 SAIZERIYA COMPANY LIMITED 33,122 18,000 SAPPORO HOLDINGS LIMITED 102,912 10,000 TAKARA HOLDINGS INCORPORATED 70,715 4,705 TIM HORTONS INCORPORATION 132,973 111,896 WENDY'S ARBY'S GROUP INCORPORATED 563,956 4,306 WHITBREAD PLC 73,394 31,572 YUM! BRANDS INCORPORATED 1,081,341 11,778,596 -------------- EDUCATIONAL SERVICES: 0.28% 9,150 APOLLO GROUP INCORPORATED CLASS A+ 593,103 4,100 BENESSE CORPORATION 201,365 48,765 CORINTHIAN COLLEGES INCORPORATED+<< 934,825 15,386 DEVRY INCORPORATED 786,225 126 Wells Fargo Advantage Master Portfolios Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - --------------- ------------- -------------- EDUCATIONAL SERVICES (continued) 442 EDUCOMP SOLUTIONS LIMITED $ 37,329 9,521 ITT EDUCATIONAL SERVICES INCORPORATED+ 999,610 6,704 NAVITAS LIMITED 19,265 8,615 STRAYER EDUCATION INCORPORATED<< 1,818,627 5,390,349 -------------- ELECTRIC, GAS & SANITARY SERVICES: 5.12% 1,765 ACEA SPA 21,520 28,649 AEM SPA 55,446 45,496 AES CORPORATION+ 621,930 20,215 AGL ENERGY LIMITED 238,517 66,347 AGL RESOURCES INCORPORATED 2,228,596 42,276 ALLEGHENY ENERGY INCORPORATED 1,116,509 23,592 ALLETE INCORPORATED 797,646 30,358 ALLIANT ENERGY CORPORATION 799,630 552,035 ALMENDRAL SA 49,845 1,019 ALSTOM PROJECTS INDIA LIMITED 10,971 58,806 AMEREN CORPORATION 1,585,998 24,298 AMERICAN ELECTRIC POWER COMPANY INCORPORATED 763,686 37,280 AQUA AMERICA INCORPORATED<< 628,168 395,800 ASIAN INSULATORS PCL 44,922 829 ATCO LIMITED 32,372 79,518 ATMOS ENERGY CORPORATION 2,166,070 585,319 AU OPTRONICS CORPORATION 590,360 47,233 AVISTA CORPORATION 921,988 15,992 BABCOCK & BROWN POWER 973 12,147 BHARAT HEAVY ELECTRICAL LIMITED 574,572 285 BKW FMB ENERGIE AG 22,501 33,662 BLACK HILLS CORPORATION 861,074 2,500 BRADESPAR SA 37,672 12,060 CALIFORNIA WATER SERVICE GROUP 448,873 91,259 CALPINE CORPORATION+ 1,073,206 258 CANADIAN UTILITIES LIMITED 8,798 84,410 CENTERPOINT ENERGY INCORPORATED 1,046,684 19,000 CENTRAIS ELECTRICAS BRASILEIRAS SA 276,023 15,900 CENTRAIS ELECTRICAS BRASILEIRAS SA PREFERRED B 207,534 139,695 CENTRICA PLC 572,862 5,548 CESC LIMITED 42,060 12,266 CEZ AS 640,693 45,000 CHINA POWER INTERNATIONAL DEVELOPMENT LIMITED 12,483 72,600 CHINA RESOURCES POWER HOLDINGS COMPANY 177,227 35,100 CHUBU ELECTRIC POWER COMPANY INCORPORATED 816,674 10,592 CIA GENERAL DE ELECTRICIDAD SA 68,822 14,382 CLEAN HARBORS INCORPORATED+<< 848,826 52,628 CLECO CORPORATION 1,285,176 88,000 CLP HOLDINGS LIMITED 589,282 62,417 CMS ENERGY CORPORATION<< 837,012 956,543 COLBUN SA 215,492 2,117 COMPANIA CERVECERIAS UNIDAS SA ADR 72,439 13,915 CONSOLIDATED EDISON INCORPORATED 559,244 49,700 CONSTELLATION ENERGY GROUP INCORPORATED 1,573,005 12,547 CONTACT ENERGY LIMITED 53,815 30,935 COVANTA HOLDING CORPORATION+<< 553,737 8,154 CPFL ENERGIA SA 143,334 30,186 DOMINION RESOURCES INCORPORATED 998,553 31,912 DPL INCORPORATED 790,460 Wells Fargo Advantage Master Portfolios 127 Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - --------------- ------------- -------------- ELECTRIC, GAS & SANITARY SERVICES (continued) 8,843 DRAX GROUP PLC $ 69,032 45,074 DTE ENERGY COMPANY 1,567,674 65,647 DUKE ENERGY CORPORATION 1,016,872 3,100 DUSKIN COMPANY LIMITED 57,136 437,553 DYNEGY INCORPORATED CLASS A+ 831,351 53,777 E.ON AG 2,275,075 525 EDF ENERGIES NOUVELLES SA 23,558 14,968 EDISON INTERNATIONAL 500,081 19,099 EDISON SPA 31,515 5,741 EDP RENOVAVEIS SA+ 56,954 194,072 EL PASO CORPORATION 1,791,285 6,700 ELECTRIC POWER DEVELOPMENT COMPANY 203,412 7,093 ELECTRICITE DE FRANCE 371,662 13,400 ELECTRICITY GENERATING PCL 30,929 2,513 EMERA INCORPORATED 47,609 268,903 EMPRESA NACIONAL DE ELECTRICIDAD SA (CHILE) 413,783 4,069 ENAGAS 80,296 8,800 ENBRIDGE INCORPORATED 328,769 570 ENBW ENERGIE BADEN-WUERTTEMBERG AG 32,278 1,942 ENDESA SA 57,602 169,880 ENEL SPA 1,000,956 5,447 ENERGY DEVELOPMENTS LIMITED 12,384 814 ENERGY SAVINGS INCOME FUND 9,633 1,027,529 ENERSIS SA (CHILE) 358,127 10,139 ENTERGY CORPORATION 800,981 24,595 ENVESTRA LIMITED 10,186 529 EVN AG 10,981 45,763 EXELON CORPORATION 2,289,065 80,100 FIRST PHILIPPINE HOLDINGS CORPORATION 68,946 15,584 FIRSTENERGY CORPORATION 703,306 4,462 FORTIS INCORPORATED 101,529 11,370 FORTUM OYJ 296,989 19,113 FPL GROUP INCORPORATED 1,073,768 85,979 FRONTIER COMMUNICATIONS CORPORATION 611,311 3,993 GAMESA CORPORATION TECNOLOGICA SA 87,412 7,200 GAS NATURAL SDG SA 151,269 31,600 GLOW ENERGY PCL 28,571 36,883 GREAT PLAINS ENERGY INCORPORATED 646,192 2,639 GRUPO ELEKTRA SA DE CV 100,547 79,180 HAWAIIAN ELECTRIC INDUSTRIES INCORPORATED 1,377,732 5,474 HERA SPA 13,521 9,300 HOKURIKU ELECTRIC POWER COMPANY 225,379 61,105 HONG KONG ELECTRIC HOLDINGS LIMITED 341,380 252,000 HUANENG POWER INTERNATIONAL INCORPORATED 176,552 100,115 IBERDROLA SA 927,177 40,911 IDACORP INCORPORATED 1,165,145 20,660 INTEGRYS ENERGY GROUP INCORPORATED 709,258 37,188 INTERNATIONAL POWER PLC 170,481 30,482 ITC HOLDINGS CORPORATION 1,419,852 39,100 KANSAI ELECTRIC POWER COMPANY INCORPORATED 899,237 619 KEYERA FACILITIES 11,167 19,895 KOREA ELECTRIC POWER CORPORATION 499,406 1,720 KOREA GAS CORPORATION 68,998 21,100 KYUSHU ELECTRIC POWER COMPANY INCORPORATED 465,991 12,892 LACLEDE GROUP INCORPORATED 419,764 4,415 LINDE AG 443,690 128 Wells Fargo Advantage Master Portfolios Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - --------------- ------------- -------------- ELECTRIC, GAS & SANITARY SERVICES (continued) 33,200 MANILA ELECTRIC COMPANY $ 136,760 46,452 MDU RESOURCES GROUP INCORPORATED 901,633 26,312 NEW JERSEY RESOURCES 966,966 75,683 NISOURCE INCORPORATED 999,772 816 NORDEX AG+ 14,939 48,732 NORTHEAST UTILITIES 1,159,334 16,339 NORTHWEST NATURAL GAS COMPANY 687,872 31,162 NORTHWESTERN CORPORATION 747,576 51,315 NRG ENERGY INCORPORATED+<< 1,377,808 29,466 NSTAR 932,304 64,315 NV ENERGY INCORPORTED 775,639 26,429 OGE ENERGY CORPORATION 826,699 26,708 ONEOK INCORPORATED 904,867 97,000 OSAKA GAS COMPANY LIMITED 335,669 7,902 PENNON GROUP PLC 59,303 60,588 PEPCO HOLDINGS INCORPORATED 868,226 784,000 PERUSAHAAN GAS NEGARA PT 270,278 18,900 PETRONAS GAS BHD 52,221 17,965 PG&E CORPORATION 729,199 27,694 PINNACLE WEST CAPITAL CORPORATION 911,410 68,101 PNM RESOURCES INCORPORATED 795,420 364,000 PNOC ENERGY DEVELOPMENT CORPORATION 33,569 65,446 PORTLAND GENERAL ELECTRIC COMPANY 1,277,506 18,966 PPL CORPORATION 557,600 14,029 PROGRESS ENERGY INCORPORATED 554,566 2,560 PUBLIC POWER CORPORATION SA 60,189 25,902 PUBLIC SERVICE ENTERPRISE GROUP INCORPORATED 820,316 1,227 Q-CELLS AG+ 18,751 42,770 QUESTAR CORPORATION 1,443,915 4,100 RATCHABURI ELECTRICITY GENERATING HOLDING PCL 4,551 16,600 RATCHABURI ELECTRICITY GENERATING HOLDING PCL ADR 18,547 2,676 RED ELECTRICA DE ESPANA 125,448 8,963 RELIANCE ENERGY LIMITED 210,330 3,952 RENEWABLE ENERGY CORPORATION AS+ 26,762 7 ROMANDE ENERGIE HOLDING SA 13,671 89,121 RRI ENERGY INCORPORATED+<< 529,379 10,948 RWE AG 1,013,907 14,000 SAIBU GAS COMPANY LIMITED 38,066 21,600 SARAWAK ENTERPRISE CORPORATION 13,310 30,415 SCANA CORPORATION 1,054,792 24,095 SCOTTISH & SOUTHERN ENERGY PLC 438,933 11,509 SEMPRA ENERGY<< 577,407 6,195 SEVERN TRENT PLC 98,734 6,285 SHANKS GROUP PLC 9,009 10,900 SHIKOKU ELECTRIC POWER COMPANY INCORPORATED 337,367 2,500 SHIZUOKA GAS COMPANY LIMITED 18,673 18,316 SOUTH JERSEY INDUSTRIES INCORPORATED 634,649 39,638 SOUTHERN COMPANY 1,236,706 28,816 SOUTHERN UNION COMPANY 571,709 38,797 SOUTHWEST GAS CORPORATION 944,707 47,652 SP AUSNET 31,012 32,597 SPECTRA ENERGY CORPORATION 613,476 21,087 STERICYCLE INCORPORATED+<< 1,044,228 6,630 SUEZ ENVIRONNEMENT SA 136,399 53,772 TECO ENERGY INCORPORATED 716,243 138,850 TENAGA NASIONAL BHD 316,222 Wells Fargo Advantage Master Portfolios 129 Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - ------------ ------------- -------------- ELECTRIC, GAS & SANITARY SERVICES (continued) 32,838 TERNA SPA $ 120,988 13,300 THE CHUGOKU ELECTRIC POWER COMPANY INCORPORATED 292,300 800 THE OKINAWA ELECTRIC POWER COMPANY INCORPORATED 47,630 23,600 TOHOKU ELECTRIC POWER COMPANY INCORPORATED 511,059 64,200 TOKYO ELECTRIC POWER COMPANY INCORPORATED 1,673,133 116,000 TOKYO GAS COMPANY LIMITED 464,997 10,229 TRACTEBEL ENERGIA SA 106,485 5,100 TRANSALTA CORPORATION 99,321 4,988 TRANSPACIFIC INDUSTRIES GROUP LIMITED 5,734 3,817 TRUSTPOWER LIMITED 19,908 30,799 UNISOURCE ENERGY CORPORATION 900,563 16,849 UNITED UTILITIES GROUP PLC 124,200 69,864 VECTREN CORPORATION 1,617,352 11,325 VEOLIA ENVIRONNEMENT 391,766 1,566 VERBUND - OESTERREICHISCHE ELEKTRIZITAETSWIRTSCHAFTS AG 79,452 49,190 WASTE CONNECTIONS INCORPORATED+ 1,345,347 25,253 WASTE MANAGEMENT INCORPORATED 755,822 43,500 WGL HOLDINGS INCORPORATED 1,435,500 39,300 WILLIAMS COMPANIES INCORPORATED 646,092 3,580 WOONGJIN COWAY COMPANY LIMITED 99,038 125,438 XCEL ENERGY INCORPORATED 2,477,401 32,000 XINAO GAS HOLDINGS LIMITED 51,032 98,826,700 -------------- ELECTRICAL PRODUCTS: 0.00% 10,915 INVENTEC APPLIANCES CORPORATION 9,782 -------------- ELECTRONIC & OTHER ELECTRICAL EQUIPMENT & COMPONENTS, EXCEPT COMPUTER EQUIPMENT: 6.61% 16,000 AAC ACOUSTIC TECHNOLOGIES HOLDINGS INCORPORATED 13,253 205,172 ACER INCORPORATED 467,484 25,398 ACUITY BRANDS INCORPORATED<< 815,530 87,400 ADC TELECOMMUNICATIONS INCORPORATED+<< 743,774 145,680 ADVANCED MICRO DEVICES INCORPORATED+<< 635,165 338,284 ADVANCED SEMICONDUCTOR ENGINEERING INCORPORATED 241,510 7,600 ADVANTEST CORPORATION 189,490 1,171 AIXTRON AG 22,982 42,534 ALCO HOLDINGS LIMITED 13,665 1,200 ALPINE ELECTRONICS INCORPORATED 11,542 8,900 ALPS ELECTRIC COMPANY LIMITED 53,658 73,216 ALTERA CORPORATION 1,406,479 26,339 AMETEK INCORPORATED 829,152 101,546 AMKOR TECHNOLOGY INCORPORATED+<< 562,565 42,520 AMPHENOL CORPORATION CLASS A 1,486,499 9,000 ANRITSU CORPORATION 34,820 5,228 ARCELIK AS 14,986 35,433 ARM HOLDINGS PLC 75,507 76,161 ARRIS GROUP INCORPORATED+ 1,009,897 14,239 ASIA OPTICAL COMPANY INCORPORATED 21,413 688 ASM INTERNATIONAL NV+ 12,689 6,500 ASM PACIFIC TECHNOLOGY 41,640 326,202 ASUSTEK COMPUTER INCORPORATED 519,283 37,096 ATHEROS COMMUNICATIONS INCORPORATED+<< 1,025,333 251,088 ATMEL CORPORATION+ 1,036,993 20,003 ATMI INCORPORATED+ 339,851 1,400 AXELL CORPORATION 55,519 82 BANG & OLUFSEN AS 1,050 130 Wells Fargo Advantage Master Portfolios Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - ------------ ------------- -------------- ELECTRONIC & OTHER ELECTRICAL EQUIPMENT & COMPONENTS, EXCEPT COMPUTER EQUIPMENT (continued) 650,000 BANK OF COMMUNICATIONS LIMITED $ 766,536 99 BARCO NV 4,827 56,503 BENCHMARK ELECTRONICS INCORPORATED+ 926,649 1,435 BF UTILITIES LIMITED+ 25,602 11,800 BROTHER INDUSTRIES LIMITED 118,444 26,000 BYD ELECTRONIC INTERNATIONAL COMPANY LIMITED+ 12,010 2,400 CANON ELECTRONICS INCORPORATED 41,165 56,200 CANON INCORPORATED 2,156,196 7 CANON INCORPORATED ADR 267 7,738 CELESTICA INCORPORATED+ 65,773 14,508 CERADYNE INCORPORATED+<< 271,590 9,990 CHARTERED SEMICONDUCTOR MANUFACTURING LIMITED+ 16,500 8 CHARTERED SEMICONDUCTOR MANUFACTURING LIMITED+ 137 27,173 CHENG UEI PRECISION INDUSTRY COMPANY LIMITED 50,934 518,844 CHI MEI OPTOELECTRONICS CORPORATION 254,563 30,000 CHINA WATER AFFAIRS GROUP LIMITED 7,587 1,900 CHIYODA INTEGRE COMPANY LIMITED 22,441 4,245 CHLORIDE GROUP 10,414 499,000 CHUNGHWA PICTURE TUBES LIMITED+ 55,332 2,637 CIA ENERGETICA DE MINAS GERAIS 29,433 54,480 CIENA CORPORATION+<< 730,032 401,349 CISCO SYSTEMS INCORPORATED+ 8,669,138 8,000 CLARION COMPANY LIMITED 8,168 2,200 CMK CORPORATION 19,080 16,985 COMTECH TELECOMMUNICATIONS CORPORATION+ 577,830 2,000 CORONA CORPORATION 27,792 49,448 CREE INCORPORATED+<< 1,821,664 18,200 CYMER INCORPORATED+ 640,276 89,361 CYPRESS SEMICONDUCTOR CORPORATION+<< 904,333 16,000 DAIDO STEEL COMPANY LIMITED 64,481 9,000 DAINIPPON SCREEN MANUFACTURING COMPANY LIMITED 31,048 6,000 DAISHINKU CORPORATION 24,890 10,395 DARFON ELECTRONICS CORPORATION 15,885 22,600 DELTA ELECTRONICS (THAILAND) PCL 11,629 10,509 DIONEX CORPORATION+ 632,011 12,136 DOLBY LABORATORIES INCORPORATED CLASS A+<< 473,425 1,900 EIZO NANAO CORPORATION 43,391 11,343 ELECTROCOMPONENTS PLC 30,930 6,336 ELECTROLUX AB CLASS B 131,287 43,672 ELITEGROUP COMPUTER SYSTEMS 16,916 55,433 ENERGIAS DE PORTUGAL SA 239,600 16,997 ENERGIZER HOLDINGS INCORPORATED+ 1,112,114 3,900 ENPLAS CORPORATION 75,150 39,210 EPISTAR CORPORATION 115,189 27,583 EVERLIGHT ELECTRONICS COMPANY LIMITED 76,255 1,640 EVERTZ TECHNOLOGIES LIMITED 21,632 180 EVS BROADCAST EQUIPMENT SA 11,460 23,645 EXIDE INDUSTRIES LIMITED 46,321 107,648 FAIRCHILD SEMICONDUCTOR INTERNATIONAL INCORPORATED+<< 1,082,939 9,000 FANUC LIMITED 734,121 22,410 FARADAY TECHNOLOGY CORPORATION 35,606 3,222 FIRST SOLAR INCORPORATED+<< 391,731 202,000 FLEXTRONICS INTERNATIONAL LIMITED+ 1,197,862 12,600 FORMOSA SUMCO TECHNOLOGY CORPORATION 24,881 2,400 FOSTER ELECTRIC COMPANY LIMITED 48,542 1,000 FUNAI ELECTRIC COMPANY LIMITED 39,871 Wells Fargo Advantage Master Portfolios 131 Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - ------------ ------------- -------------- ELECTRONIC & OTHER ELECTRICAL EQUIPMENT & COMPONENTS, EXCEPT COMPUTER EQUIPMENT (continued) 1,300 FUTABA CORPORATION CHIBA $ 22,382 546,407 GENERAL ELECTRIC COMPANY 7,595,057 35,588 GENTEX CORPORATION<< 519,229 4,387 GLOBAL UNICHIP CORPORATION 19,324 5,463 GN STORE NORD 29,146 25,000 GS YUASA CORPORATION 217,894 3,200 HAMAMATSU PHOTONICS 68,264 194,800 HANA MICROELECTRONICS PCL 113,409 386,962 HANNSTAR DISPLAY CORPORATION+ 81,115 50,694 HARMAN INTERNATIONAL INDUSTRIES INCORPORATED 1,520,313 59,353 HARMONIC INCORPORATED+ 391,730 33,867 HARRIS CORPORATION 1,176,201 7,336 HARRIS STRATEX NETWORKS INCORPORATED CLASS A+ 44,456 58,056 HEXEL CORPORATION+<< 631,649 1,100 HI-LEX CORPORATION 10,450 900 HIOKI EE CORPORATION 17,507 1,600 HIROSE ELECTRIC COMPANY LIMITED 197,571 9,000 HOKKAIDO ELECTRIC POWER COMPANY INCORPORATED 185,610 1,900 HORIBA LIMITED 43,084 2,900 HOSIDEN CORPORATION 42,729 300 HUBER & SUHNER AG 11,545 30,437 HYNIX SEMICONDUCTOR INCORPORATED+ 534,944 6,700 IBIDEN COMPANY LIMITED 238,334 1,100 IDEC CORPORATION 9,304 23,791 IMATION CORPORATION 204,603 510 INDESIT COMPANY SPA 3,497 23,634 INFINEON TECHNOLOGIES AG+ 124,177 959 INGENICO 23,510 245,873 INNOLUX DISPLAY CORPORATION 275,255 151,400 INOTERA MEMORIES INCORPORATED 85,091 287,034 INTEL CORPORATION 5,832,531 26,869 INTERDIGITAL INCORPORATED+<< 563,174 31,534 INTERSIL CORPORATION CLASS A 466,703 50,400 JABIL CIRCUIT INCORPORATED 551,880 131,776 JDS UNIPHASE CORPORATION+ 905,301 3,000 JEOL LIMITED 14,025 7,000 JUKI CORPORATION 9,404 51 KABA HOLDING 10,957 12,232 KESA ELECTRICALS PLC 27,998 1,900 KEYENCE CORPORATION 401,440 16,582 KINSUS INTERCONNECT TECHNOLOGY CORPORATION 34,508 3,700 KOA CORPORATION 35,708 25,879 KONINKLIJKE PHILIPS ELECTRONICS NV 584,702 3,147 KONTRON AG 36,453 2,324 KUDELSKI SA 52,674 8,900 KYOCERA CORPORATION 741,268 7,983 L-3 COMMUNICATIONS HOLDINGS INCORPORATED 593,935 7,493 LAIRD GROUP PLC 20,249 2,648 LEGRAND SA 64,991 7,378 LG ELECTRONICS INCORPORATED 844,787 12,960 LG TELECOM LIMITED 80,942 24,933 LINCOLN ELECTRIC HOLDINGS INCORPORATED<< 1,134,950 51,582 LINEAR TECHNOLOGY CORPORATION 1,370,534 2,403 LS CABLE LIMITED 158,930 177,525 LSI LOGIC CORPORATION+ 924,905 1,600 MABUCHI MOTOR COMPANY LIMITED 81,505 132 Wells Fargo Advantage Master Portfolios Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - ------------ ------------- -------------- ELECTRONIC & OTHER ELECTRICAL EQUIPMENT & COMPONENTS, EXCEPT COMPUTER EQUIPMENT (continued) 249,191 MACRONIX INTERNATIONAL $ 118,477 6,300 MAKITA CORPORATION 178,066 8,700 MALAYSIAN PACIFIC INDUSTRIES 14,527 3,800 MARUBUN CORPORATION 24,911 134,258 MARVELL TECHNOLOGY GROUP LIMITED+ 2,047,435 83,100 MEDIATEK INCORPORATED 1,206,742 900 MEGACHIPS CORPORATION 20,263 187 MELEXIS NV 1,592 55,517 MEMC ELECTRONIC MATERIALS INCORPORATED+ 885,496 37,797 MICREL INCORPORATED 293,683 2,219 MICRO-STAR INTERNATIONAL COMPANY LIMITED 1,379 50,100 MICROCHIP TECHNOLOGY INCORPORATED<< 1,330,155 1,369 MICRONAS SEMICONDUCTOR HOLDING+ 6,128 600 MICRONICS JAPAN COMPANY LIMITED 10,704 49,849 MICROSEMI CORPORATION+ 703,369 600 MIMASU SEMICONDUCTOR INDUSTRY COMPANY LIMITED 8,279 17,000 MINEBEA COMPANY LIMITED 78,925 3,700 MITSUMI ELECTRIC COMPANY LIMITED 85,889 17,095 MOLEX INCORPORATED<< 311,300 19,286 MOLEX INCORPORATED CLASS A 324,583 23,255 MOOG INCORPORATED CLASS A+ 673,930 50,780 MOSEL VITELIC INCORPORATED 10,182 107,600 MOTOROLA INCORPORATED 772,568 10,900 MURATA MANUFACTURING COMPANY LIMITED 515,422 15,435 NAN YA PRINTED CIRCUIT BOARD CORPORATION 50,408 125,231 NANYA TECHNOLOGY CORPORATION 64,676 67,257 NATIONAL GRID PLC 648,734 63,123 NATIONAL SEMICONDUCTOR CORPORATION<< 957,576 96,000 NEC CORPORATION 346,652 1,400 NEC ELECTRONICS CORPORATION+ 13,767 579 NEXANS SA 42,308 14,000 NGK INSULATORS LIMITED 326,491 3,400 NICHICON CORPORATION 47,319 1,000 NIDEC COPAL CORPORATION 11,413 7,000 NIDEC COPAL ELECTRONICS CORPORATION 38,743 3,000 NIDEC SANKYO CORPORATION 17,507 300 NIHON DEMPA KOGYO COMPANY LIMITED 6,803 5,400 NINTENDO COMPANY LIMITED 1,460,118 11,000 NIPPON CARBON COMPANY LIMITED 39,484 3,000 NIPPON CHEMI-CON CORPORATION 11,607 2,400 NIPPON SIGNAL COMPANY LIMITED 24,013 8,000 NISSIN ELECTRIC COMPANY LIMITED 44,449 1,300 NITTO KOGYO CORPORATION 12,434 101,313 NOKIA OYJ 1,408,860 832 NORDDEUTSCHE AFFINERIE AG 31,668 1,600 NORITZ CORPORATION 21,236 33,791 NOVATEK MICROELECTRONICS CORPORATION LIMITED 79,353 66,554 NTPC LIMITED 289,457 58 NTT DATA CORPORATION 197,593 135,303 NVIDIA CORPORATION+ 1,964,600 111 OC OERLIKON CORPORATION AG+ 6,924 34,000 OKI ELECTRIC INDUSTRY COMPANY LIMITED 35,809 11,500 OLYMPUS CORPORATION 312,681 43,419 OMNIVISION TECHNOLOGIES INCORPORATED+ 635,220 9,804 OMRON CORPORATION 167,211 2,200 ONEX CORPORATION 46,020 Wells Fargo Advantage Master Portfolios 133 Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - ------------ ------------- -------------- ELECTRONIC & OTHER ELECTRICAL EQUIPMENT & COMPONENTS, EXCEPT COMPUTER EQUIPMENT (continued) 14,000 OPENWAVE SYSTEMS INCORPORATED+ $ 38,780 2,730 OPTEX COMPANY LIMITED 32,566 36,886 PAN-INTERNATIONAL INDUSTRIAL 41,125 10,195 PARK ELECTROCHEMICAL CORPORATION 219,600 11 PHOENIX MECANO AG 3,896 23,214 PHOENIX PRECISION TECHNOLOGY CORPORATION 14,281 42,628 PLANTRONICS INCORPORATED 1,018,383 24,125 PLEXUS CORPORATION+ 607,468 187,835 PMC-SIERRA INCORPORATED+ 1,705,542 47,287 POWERTECH TECHNOLOGY INCORPORATED 129,147 18,366 PREMIER FARNELL PLC 49,333 2,397 PRYSMIAN SPA 44,776 30,900 QLOGIC CORPORATION+ 488,529 114,197 QUALCOMM INCORPORATED 5,301,025 65,619 RAMBUS INCORPORATED+<< 1,253,323 28,489 REALTEK SEMICONDUCTOR CORPORATION 60,152 21,671 REGAL-BELOIT CORPORATION 985,164 12,656 RESEARCH IN MOTION LIMITED+ 928,897 10,996 REUNERT LIMITED 71,804 1,070 REXEL SA+ 13,698 210,444 RF MICRO DEVICES INCORPORATED+ 989,087 9,445 RICHTEK TECHNOLOGY CORPORATION 74,889 33,565 RICOH COMPANY LIMITED 483,726 39,279 ROCKWELL COLLINS INCORPORATED 1,808,405 4,800 ROHM COMPANY LIMITED 323,439 800 ROLAND CORPORATION 9,371 1,765 ROTORK PLC 27,656 1,800 RYOSAN COMPANY LIMITED 45,750 5,918 SAFRAN SA 108,724 1,319 SAMSUNG DIGITAL IMAGING COMPANY LIMITED+ 43,313 4,230 SAMSUNG ELECTRO-MECHANICS COMPANY LIMITED 302,457 8,634 SAMSUNG ELECTRONICS COMPANY LIMITED 5,330,142 2,690 SAMSUNG SDI COMPANY LIMITED 318,777 2,936 SAMSUNG TECHWIN COMPANY LIMITED 182,898 7,000 SANKEN ELECTRIC COMPANY LIMITED 25,352 900 SANSHIN ELECTRONICS COMPANY LIMITED 7,399 6,000 SANYO DENKI COMPANY LIMITED 26,824 348 SEB SA 17,349 10,600 SECOM COMPANY LIMITED 478,452 7,300 SEIKO EPSON CORPORATION 108,029 589,000 SEMICONDUCTOR MANUFACTURING INTERNATIONAL CORPORATION+ 28,118 49,000 SHARP CORPORATION 566,093 9,000 SHINDENGEN ELECTRIC MANUFACTURING COMPANY LIMITED 22,053 2,200 SHINKAWA LIMITED 38,136 3,100 SHINKO ELECTRIC INDUSTRIES 57,836 10,000 SHOWA ELECTRIC WIRE 11,607 49,000 SILICON INTEGRATED SYSTEMS CORPORATION 16,300 27,616 SILICON LABORATORIES INCORPORATED+<< 1,243,825 9,592 SMITHS GROUP PLC 125,235 11,000 SMK CORPORATION 69,866 1,711 SOITEC+ 15,659 43,262 SOLERA HOLDINGS INCORPORATED 1,139,521 47,094 SONY CORPORATION 1,272,879 2,351 SPECTRIS PLC 26,791 2,000 STAR MICRONICS COMPANY LIMITED 20,956 33,120 STERLITE INDUSTRIES INDIA LIMITED 458,321 134 Wells Fargo Advantage Master Portfolios Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - ------------ ------------- -------------- ELECTRONIC & OTHER ELECTRICAL EQUIPMENT & COMPONENTS, EXCEPT COMPUTER EQUIPMENT (continued) 17,186 STMICROELECTRONICS NV $ 148,198 1,500 SUMIDA ELECTRIC CORPORATION 10,736 38,140 SUNPLUS TECHNOLOGY COMPANY LIMITED 20,682 12,071 SUNPOWER CORPORATION+<< 306,000 10,081 SUNPOWER CORPORATION CLASS B+<< 215,636 19,948 SYNAPTICS INCORPORATED+<< 514,259 1,369 TAIHAN ELECTRIC WIRE COMPANY LIMITED 25,047 7,000 TAIYO YUDEN COMPANY LIMITED 83,503 16,000 TAMURA CORPORATION 61,042 2,300 TANBERG ASA 47,662 9,688 TATA POWER COMPANY LIMITED 259,696 282,000 TATUNG COMPANY LIMITED+ 60,056 61,800 TCL MULTIMEDIA TECHNOLOGY HOLDINGS LIMITED+ 28,466 130,000 TECO ELECTRIC & MACHINERY COMPANY LIMITED 53,514 2,000 TEIKOKY TSUSHIN KOGYO COMPANY 5,502 24,781 TELEFLEX INCORPORATED 1,122,579 7,326 TELEFONICA O2 CZECH REPUBLIC AS 203,289 100,564 TELLABS INCORPORATED+ 637,576 28,631 TESSERA TECHNOLOGIES INCORPORATED+ 719,497 13,009 THOMAS & BETTS CORPORATION+ 360,219 4,752 THOMSON REUTERS PLC 149,859 1,000 TOA CORPORATION 6,448 14,000 TOKO INCORPORATED 25,728 8,400 TOKYO ELECTRON LIMITED 456,787 29,000 TOKYO ROPE MANUFACTURING 98,173 1,900 TOKYO SEIMITSU COMPANY LIMITED 27,117 5,000 TOSHIBA TEC CORPORATION 21,601 300 TOYO TANSO COMPANY LIMITED 16,894 24,899 TRANSCEND INFORMATION INCORPORATED 82,829 28,407 TRIPOD TECHNOLOGY CORPORATION 63,172 4,000 TRULY INTERNATIONAL 4,227 22,927 TYCO ELECTRONICS LIMITED 523,194 1,388 ULTRA ELECTRONICS HOLDINGS 28,426 1,700 ULVAC INCORPORATED 48,963 43,511 UNIVERSAL SCIENTIFIC 16,325 44,814 VARIAN SEMICONDUCTOR EQUIPMENT ASSOCIATES INCORPORATED+<< 1,369,964 8,821 VECTOR LIMITED 12,228 9,000 VENTURE CORPORATION LIMITED 53,777 89,000 VIA TECHNOLOGIES INCORPORATED+ 30,012 149,245 VISHAY INTERTECHNOLOGY INCORPORATED+ 1,204,407 13 WACOM COMPANY LIMITED 26,168 198,000 WALSIN LIHWA CORPORATION 65,265 4,000 WBL CORPORATION LIMITED 12,075 93,971 WESTAR ENERGY INCORPORATED 1,928,285 20,200 WHIRLPOOL CORPORATION 1,297,042 222,000 WINDBOND ELECTRONICS CORPORATION+ 37,296 77,000 WINTEK CORPORATION 56,376 40,000 YA HSIN INDUSTRIAL COMPANY LIMITED(a) 0 118,000 YAGEO CORPORATION 29,933 5,000 YAMAICHI ELECTRONICS COMPANY LIMITED 11,929 11,000 YASKAWA ELECTRIC CORPORATION 79,441 9,700 YOKOGAWA ELECTRIC CORPORATION 83,396 3,200 YOKOWO COMPANY LIMITED 18,399 7,883 YOUNG FAST OPTOELECTRONICS COMPANY LIMITED 82,981 28,448 ZORAN CORPORATION+ 314,350 127,611,532 -------------- Wells Fargo Advantage Master Portfolios 135 Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - ------------ ------------- -------------- ELECTRONICS: 0.00% 8,926 CARPHONE WAREHOUSE PLC $ 26,650 -------------- ENERGY: 0.01% 84 ATEL HOLDING AG 35,638 665 BAYTEX ENERGY TRUST 14,463 76,585 GVK POWER & INFRASTRUCTURE LIMITED 75,605 8,953 LINC ENERGY LIMITED+ 10,443 456 SECHILIENNE SA 17,991 1,865 SOLARWORLD AG 39,677 1,492 SONGA OFFSHORE SE+ 5,504 199,321 -------------- ENERGY - EXPLORATION & PRODUCTION: 0.01% 64,427 RELIANCE NATURAL RESOURCES LIMITED+ 113,613 -------------- ENGINEERING CONSTRUCTION: 0.03% 3,340 AKER KVAERNER ASA 32,747 28,000 ANHUI CONCH CEMENT COMPANY LIMITED 177,203 11,562 LARSEN & TOUBRO LIMITED 371,180 10,000 PEACE MARK HOLDINGS LIMITED+(a) 0 2,000 TOSHIBA PLANT SYSTEMS & SERVICES CORPORATION 27,147 608,277 -------------- ENGINEERING, ACCOUNTING, RESEARCH MANAGEMENT & RELATED SERVICES: 1.14% 42,337 ACCENTURE LIMITED CLASS A 1,397,121 4,758 ACERGY SA 47,836 23,663 AECOM TECHNOLOGY CORPORATION+ 648,603 35,166 AMYLIN PHARMACEUTICALS INCORPORATED+<< 443,092 1,965 AUSENCO LIMITED 8,038 20,934 AVENG LIMITED 110,866 46,000 BEIJING CAPITAL INTERNATIONAL AIRPORT COMPANY LIMITED CLASS H 25,580 874 BHARAT EARTH MOVERS LIMITED 19,894 7,317 BOUYGUES SA 363,102 31,528 CELGENE CORPORATION+ 1,644,816 18,611 CEPHALON INCORPORATED+<< 1,059,524 8,000 CHIYODA CORPORATION 64,653 1,100 CHUDENKO CORPORATION 18,465 14,242 CORE LABORATORIES NV<< 1,319,806 15,505 DOWNER EDI LIMITED 105,101 12,360 FLUOR CORPORATION 653,844 801 FRAPORT AG 40,444 32,011 GEN-PROBE INCORPORATED+ 1,234,024 4,621 GROUPE AEROPLAN INCORPORATED 38,663 14,509 HCL TECHNOLOGIES LIMITED 89,149 21,581 HEWITT ASSOCIATES INCORPORATED+ 777,348 2,000 HIBIYA ENGINEERING LIMITED 17,990 3,000 HITACHI PLANT TECHNOLOGIES LIMITED 19,602 2,800 HONG KONG AIRCRAFT ENGINEERING COMPANY LIMITED 32,767 10,815 IHS INCORPORATED+ 523,446 1,402 IMTECH NV 33,958 60,700 INCYTE CORPORATION+<< 400,013 57,077 ISIS PHARMACEUTICALS INCORPORATED+<< 921,223 30,412 JACOBS ENGINEERING GROUP INCORPORATED+ 1,337,520 51,333 JAIPRAKASH ASSOCIATES LIMITED 238,923 3,000 JAPAN AIRPORT TERMINAL COMPANY LIMITED 34,788 5,000 KANDENKO COMPANY LIMITED 34,605 136 Wells Fargo Advantage Master Portfolios Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - ------------ ------------- -------------- ENGINEERING, ACCOUNTING, RESEARCH MANAGEMENT & RELATED SERVICES (continued) 590 KBC ANCORA $ 11,749 2,000 KYUDENKO CORPORATION 13,176 50,200 MALAYSIA AIRPORTS HOLDINGS BHD 48,468 3,059 MONADELPHOUS GROUP LIMITED 33,430 46,810 MOODY'S CORPORATION 1,275,104 23,725 MYRIAD GENETICS INCORPORATED+ 725,273 10,448 NAGARJUNA CONSTRUCTION COMPANY 29,145 2,000 NAVIGANT CONSULTING INCORPORATED+ 25,180 1,000 NEC NETWORKS & SYSTEM INTEGRATION CORPORATION 13,724 1,000 OYO CORPORATION 10,446 27,360 PHARMACEUTICAL PRODUCT DEVELOPMENT INCORPORATED 550,210 552 POL-AQUA SA+ 5,106 244,400 POWER LINE ENGINEERING PCL 10,707 13,176 PUNJ LLOYD LIMITED 72,620 13,758 QINETIQ PLC 31,244 10,321 QUEST DIAGNOSTICS INCORPORATED 556,921 38,636 REGENERON PHARMACEUTICAL INCORPORATED+ 878,196 27,605 RESOURCES GLOBAL PROFESSIONALS+ 425,393 2,400 SAMSUNG ENGINEERING COMPANY LIMITED 156,041 2,000 SANKI ENGINEERING COMPANY LIMITED 16,701 1,300 SHINKO PLANTECH COMPANY LIMITED 12,546 4,000 SNC-LAVALIN GROUP INCORPORATED 169,317 391,200 SOLARTRON PCL 11,963 1,039 STANTEC INCORPORATED+ 26,878 1,200 TAIKISHA 16,262 3,000 TAKASAGO THERMAL ENGINEERING COMPANY 26,760 37,620 TETRA TECH INCORPORATED+<< 1,111,295 3,000 TOYO ENGINEERING CORPORATION 10,736 12,613 TRANSFIELD SERVICES LIMITED 43,175 20,000 TRANSMILE GROUP BHD 6,986 20,743 URS CORPORATION+ 896,720 10,268 VOLTAS LIMITED 33,186 26,055 WATSON WYATT & COMPANY HOLDINGS 1,138,604 16,400 WCT ENGINEERING BHD 12,528 22,110,594 -------------- ENTERTAINMENT: 0.01% 19,608 CROWN LIMITED 131,090 17,170 PREMIERE AG+ 81,968 213,058 -------------- ENVIRONMENTAL CONTROL: 0.00% 936 BUREAU VERITAS SA 47,220 -------------- FABRICATED METAL PRODUCTS, EXCEPT MACHINERY & TRANSPORTATION EQUIPMENT: 0.74% 2,783 ACERINOX SA 58,849 7,981 ALLIANT TECHSYSTEMS INCORPORATED+<< 616,772 39,500 APTARGROUP INCORPORATED 1,358,010 8,000 ASSA ABLOY AB CLASS B 128,118 424 CCL INDUSTRIES INCORPORATED CLASS B 8,528 97,199 COMMERCIAL METALS COMPANY 1,645,579 44,030 CRANE COMPANY 1,033,384 39,696 CROWN HOLDINGS INCORPORATED+ 985,652 46,763 ECM LIBRA BHD(a) 0 41,300 FORTUNE BRANDS INCORPORATED 1,644,153 700 FP CORPORATION 33,251 Wells Fargo Advantage Master Portfolios 137 Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - ------------ ------------- -------------- FABRICATED METAL PRODUCTS, EXCEPT MACHINERY & TRANSPORTATION EQUIPMENT (continued) 1,100 FUJI SEAL INTERNATIONAL INCORPORATED $ 23,336 25,200 GIANT MANUFACTURING COMPANY LIMITED 64,461 156 HOGANAS AB 2,553 1,450 HUHTAMAKI OYJ 17,482 2,000 HULAMIN LIMITED 3,599 21,900 ILLINOIS TOOL WORKS INCORPORATED 915,858 8,430 JINDAL STEEL & POWER LIMITED 540,806 141,000 KOBE STEEL LIMITED 260,634 1,237 MERCATOR MINERALS LIMITED+ 2,701 97,941 MUELLER WATER PRODUCTS INCORPORATED 450,529 26,936 NAMPAK LIMITED 59,381 41,000 NISSHIN STEEL COMPANY LIMITED 83,278 20,000 NTN CORPORATION 93,283 32,112 QUANEX BUILDING PRODUCTS CORPORATION 432,549 20,231 SHAW GROUP INCORPORATED+ 593,375 32,985 SIMPSON MANUFACTURING COMPANY INCORPORATED<< 847,715 9,300 SKF AB CLASS B 142,013 35,880 SNAP-ON INCORPORATED 1,339,042 3,651 SSAB SVENSKT STAL AB CLASS A 53,213 1,350 SSAB SVENSKT STAL AB CLASS B 17,874 178,000 SUMITOMO METAL INDUSTRIES LIMITED 445,717 4,678 VALMONT INDUSTRIES INCORPORATED 385,140 2,864 VOESTALPINE AG 92,177 14,379,012 -------------- FINANCE & FINANCIAL SERVICES: 0.21% 636,000 ASIA PLUS SECURITIES PCL 33,661 15,887 CHALLENGER FINANCIAL SERVICES GROUP LIMITED 42,163 2,332,000 CHINA CONSTRUCTION BANK 1,760,182 156,339 JANUS CAPITAL GROUP INCORPORATED<< 1,988,632 848,000 KGI SECURITIES COMPANY LIMITED 31,167 2,277 NFI EMPIK MEDIA & FASION SA+ 12,659 28,344 RURAL ELECTRIFICATION CORPORATION LIMITED 128,934 3,997,398 -------------- FINANCIAL: 0.00% 4,273 LONDON STOCK EXCHANGE GROUP PLC 56,032 -------------- FINANCIAL SERVICES: 0.24% 385,000 AYALA LAND INCORPORATED 84,819 4,300 BANGKOK BANK PCL 13,971 71,656 BANK HAPOALIM LIMITED+ 230,205 37,949 BROADRIDGE FINANCIAL SOLUTIONS INCORPORATED 790,098 3,347 CARDNO LIMITED 12,871 644,116 CHINA TRUST FINANCIAL HOLDING COMPANY LIMITED 358,098 4,125 GRUPO FINANCIERO GALICIA SA ADR+<< 16,624 54,580 ING GROEP NV 825,108 37,869 SHINHAN FINANCIAL GROUP COMPANY LIMITED 1,243,209 1,924 WIRECARD AG 20,190 15,970 WOORI FINANCE HOLDINGS COMPANY LIMITED 179,661 3,879 ZURICH FINANCIAL SERVICES AG 852,435 4,627,289 -------------- 138 Wells Fargo Advantage Master Portfolios Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - ------------ ------------- -------------- FISHING, HUNTING & TRAPPING: 0.00% 64,400 MARINE HARVEST+ $ 45,697 9,700 NIPPON SUISAN KAISHA LIMITED 29,084 74,781 -------------- FOOD & BEVERAGE: 0.00% 2,959 BRITVIC PLC 16,696 -------------- FOOD & KINDRED PRODUCTS: 2.47% 33,000 AJINOMOTO COMPANY INCORPORATED 336,561 31,963 ALICORP SA 21,853 6,960 ANHEUSER-BUSCH INBEV NV+ 40 40,200 ARCHER-DANIELS-MIDLAND COMPANY 1,158,966 900 ARIAKE JAPAN COMPANY LIMITED 14,083 1,015 ARYZTA AG+ 37,702 2,218 ARYZTA AG+ 82,528 21,400 ASAHI BREWERIES LIMITED 372,114 30,000 ASIA FOOD & PROPERTIES LIMITED 7,391 5,000 ASIA PACIFIC BREWERIES LIMITED 41,639 9,472 ASSOCIATED BRITISH FOODS PLC 123,437 450 AXFOOD AB 12,074 27 BARRY CALLEBAUT AG 14,636 24,966 BIDVEST GROUP LIMITED 362,645 2,439 BIM BIRLESIK MAGAZALAR AS 91,050 3,682 BIOCON LIMITED 17,982 33,577 BUNGE LIMITED<< 2,249,995 35,942 CADBURY PLC 339,953 2,600 CARLSBERG AS 186,786 9,100 CARLSBERG BREWERY MALAYSIA BERHAD 11,086 30,567 CENTRAL EUROPEAN DISTRIBUTION CORPORATION+ 984,257 21,500 CHINA HUIYUAN JUICE GROUP 14,203 49,000 CHINA MENGNIU DAIRY COMPANY 116,076 36,000 CHINA YURUN FOOD GROUP LIMITED 62,149 8,407 CIA CERVECERIAS UNIDAS SA 54,883 3,711 CIA DE BEBIDAS DAS AMERICAS 236,675 836 CJ CHEILJEDANG CORPORATION 111,788 1,178 CJ CORPORATION 47,256 23,894 COCA-COLA AMATIL LIMITED 200,135 1,000 COCA-COLA CENTRAL JAPAN COMPANY LIMITED 13,756 109,833 COCA-COLA COMPANY 5,356,555 14,700 COCA-COLA ENTERPRISES INCORPORATED 297,087 4,565 COCA-COLA HELLENIC BOTTLING COMPANY SA 105,365 3,900 COCA-COLA WEST JAPAN COMPANY LIMITED 75,737 20,000 COFCO INTERNATIONAL LIMITED 12,154 48,098 COMPASS GROUP PLC 255,575 22,814 CONAGRA FOODS INCORPORATED 468,371 54,283 CONSTELLATION BRANDS INCORPORATED CLASS A+ 802,846 1,325 CSM 28,811 1,680 DAIRY CREST GROUP PLC 8,377 1,000 DANISCO AS 48,921 51,358 DARLING INTERNATIONAL INCORPORATED+ 360,020 2,056 DAVID CAMPARI-MILANO SPA 17,449 172,932 DEL MONTE FOODS COMPANY 1,814,057 66,680 DIAGEO PLC 1,035,583 400 DYDO DRINCO INCORPORATED 12,947 250 EAST ASIATIC COMPANY LIMITED A/S 8,595 5,000 EZAKI GLICO COMPANY LIMITED 55,078 Wells Fargo Advantage Master Portfolios 139 Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - ------------ ------------- -------------- FOOD & KINDRED PRODUCTS (continued) 89,154 FOSTER'S GROUP LIMITED $ 412,935 5,500 FRASER & NEAVE HOLDINGS 14,994 3,000 FUJI OIL COMPANY LIMITED 42,106 1,000 FUJICCO COMPANY LIMITED 11,660 800 GENMAB A/S+ 22,611 7,034 GLENMARK PHARMACEUTICALS LIMITED 31,262 4,945 GREENE KING PLC 38,488 1,680 GREGGS PLC 11,134 16,309 GROUPE DANONE 886,831 44,900 GRUPO BIMBO SAB DE CV 260,068 29,700 GRUPO MODELO SA DE CV 108,398 8,900 GUINNESS ANCHOR BHD 16,529 17,859 HANSEN NATURAL CORPORATION+<< 583,275 2,248 HEINEKEN HOLDING NV 79,666 418 HITE BREWERY COMPANY LIMITED 54,778 329 HITE HOLDINGS COMPANY LIMITED 10,528 3,900 HOUSE FOODS CORPORATION 60,564 18,172 INBEV NA 784,543 250,924 INDOFOOD SUKSES MAKMUR TBK PT 62,233 8,000 ITOHAM FOODS INCORPORATED 28,028 44,186 J SAINSBURY PLC 234,284 5,000 J-OIL MILLS INCORPORATED 18,538 521,200 JG SUMMIT HOLDINGS 66,225 3,900 KAGOME COMPANY LIMITED 72,887 3,323 KERRY GROUP PLC 86,941 21,200 KHON KAEN SUGAR INDUSTRY PCL 8,914 9,000 KIKKOMAN CORPORATION 111,521 45,000 KIRIN BREWERY COMPANY LIMITED 659,162 1,159 KONINKLIJKE WESSANEN NV 6,297 68,520 KRAFT FOODS INCORPORATED CLASS A 1,942,542 7,100 KULIM (MALAYSIA) BERHAD 15,021 12,302 LANCASTER COLONY CORPORATION 618,299 4 LINDT & SPRUENGLI AG 98,215 18 LINDT & SPRUENGLI AG (PARTICIPATION CERTIFICATE) 38,247 12,212 LION NATHAN LIMITED 121,898 43 LOTTE CHILSUNG BEVERAGE COMPANY LIMITED 26,167 67 LOTTE CONFECTIONERY COMPANY LIMITED 55,579 64,900 MANILA WATER COMPANY 20,616 1,451 MAPLE LEAF FOODS INCORPORATED 12,181 5,000 MARUDAI FOOD COMPANY LIMITED 14,186 14,000 MARUHA NICHIRO HOLDINGS INCORPORATED 21,214 600 MEITO SANGYO COMPANY LIMITED 8,350 1,300 MIKUNI COCA-COLA BOTTLING COMPANY LIMITED 10,967 4,000 MITSUI SUGAR COMPANY LIMITED 14,745 9,000 MORINAGA & COMPANY LIMITED 19,344 9,000 MORINAGA MILK INDUSTRY COMPANY LIMITED 39,269 2,662 NESTLE INDIA LIMITED 119,947 4,000 NESTLE MALAYSIA BHD 38,620 100,764 NESTLE SA 4,185,098 15 NESTLE SA ADR 622 12,000 NICHIREI CORPORATION 46,427 10,693 NICHOLAS PIRAMAL INDIA LIMITED 72,480 6,000 NIPPON BEET SUGAR MANUFACTURING COMPANY LIMITED 16,830 7,000 NIPPON FLOUR MILLS COMPANY LIMITED 35,959 10,000 NIPPON MEAT PACKERS INCORPORATED 121,010 10,000 NISSHIN SEIFUN GROUP INCORPORATED 132,724 140 Wells Fargo Advantage Master Portfolios Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - ------------ ------------- -------------- FOOD & KINDRED PRODUCTS (continued) 4,500 NISSIN FOOD PRODUCTS COMPANY LIMITED $ 148,469 24,790 NORTHERN FOODS PLC 25,828 8,748 NORTHUMBRIAN WATER GROUP PLC 33,738 659 NUTRECO HOLDING NV 29,660 764 OPG GROEP NV 12,081 260 ORION CORPORATION 44,031 3,453 OSEM INVESTMENT LIMITED 42,745 44,101 PARMALAT SPA 113,170 21,000 PEOPLES FOOD HOLDINGS LIMITED 10,566 39,548 PEPSI BOTTLING GROUP INCORPORATED 1,413,050 17,230 PEPSIAMERICAS INCORPORATED 482,095 108,923 PEPSICO INCORPORATED 6,172,666 5,076 PERNOD-RICARD 395,666 40,500 PPB GROUP BHD 176,882 5,400 QP CORPORATION 58,033 14,015 RALCORP HOLDINGS INCORPORATED+ 879,141 458 REMY COINTREAU SA 18,319 11,389 RIDLEY CORPORATION LIMITED 10,204 600 RIKEN VITAMIN COMPANY LIMITED 16,378 38,100 SAN MIGUEL CORPORATION 50,753 4,427 SAPUTO INCORPORATED 111,489 30,300 SARA LEE CORPORATION 293,607 5,000 SHOWA SANGYO COMPANY LIMITED 16,013 34,276 SMITHFIELD FOODS INCORPORATED+<< 420,567 10,000 SNOW BRAND MILK PRODUCTS COMPANY LIMITED 36,110 2,424 SODEXHO ALLIANCE SA 139,628 1,474 SUEDZUCKER AG 28,739 8,016 SUN PHARMACEUTICAL INDUSTRIES LIMITED 195,462 10,163 TATE & LYLE PLC 66,659 205,000 THAI BEVERAGE PUBLIC COMPANY LIMITED 34,855 29,400 THAI UNION FROZEN PRODUCTS PCL 22,476 4,000 THE NISSHIN OILLIO GROUP LIMITED 21,279 10,763 TIGER BRANDS LIMITED 215,080 176,000 TINGYI (CAYMAN ISLANDS) HOLDING CORPORATION 315,192 1,910 TONGAAT-HULETT 22,590 5,000 TOYO SUISAN KAISHA LIMITED 127,351 18,772 TREEHOUSE FOODS INCORPORATED+ 695,503 84,653 TYSON FOODS INCORPORATED CLASS A 1,014,989 600 UNICHARM PETCARE CORPORATION 21,537 42,173 UNILEVER NV 1,178,660 35,860 UNILEVER PLC 980,755 5,468 UNITED BREWERIES LIMITED 17,829 19,102 VINA CONCHA Y TORO SA 38,428 1,020 VISCOFAN SA 23,236 30,000 VITASOY INTERNATIONAL HOLDINGS LIMITED 17,341 61,345 WILLIAM MORRISON SUPERMARKETS PLC 276,630 38,930 WILMAR INTERNATIONAL LIMITED 176,691 7,300 YAKULT HONSHA COMPANY LIMITED 180,441 9,000 YAMAZAKI BAKING COMPANY LIMITED 121,870 47,663,666 -------------- FOOD MANUFACTURERS & PURVEYORS: 0.01% 3,400 MEIJI HOLDINGS COMPANY LIMITED 138,850 2,000 NAKAMURAYA COMPANY LIMITED 10,102 148,952 -------------- Wells Fargo Advantage Master Portfolios 141 Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - --------------- ------------- -------------- FOOD STORES: 0.54% 9,700 AEON COMPANY M BHD $ 13,222 13,200 AJISEN CHINA HOLDINGS LIMITED 8,975 3,381 ALIMENTATION COUCHE TARD INCORPORATED CLASS B 57,938 277,000 C.P. SEVEN ELEVEN PCL 137,645 8,000 CAFE DE CORAL HOLDINGS LIMITED 17,052 16,245 CARREFOUR SA 764,927 1,010 CASINO GUICHARD PERRACHON SA 76,452 375 COLRUYT SA 86,017 2,613 DELHAIZE GROUP 175,108 724 EMPIRE COMPANY LIMITED 27,717 1,200 GEORGE WESTON LIMITED 62,546 109 GUYENNE ET GASCOGNE SA 10,595 30,600 JOLLIBEE FOODS CORPORATION 32,296 2,100 KAPPA CREATE COMPANY LIMITED 48,861 2,100 KENTUCKY FRIED CHICKEN (JAPAN) LIMITED 38,005 600 KESKO OYJ A SHARES 18,167 1,500 KESKO OYJ B SHARES 44,083 5,400 KFC HOLDINGS MALAYSIA BHD 11,194 28,392 KONINKLIJKE AHOLD NV 332,587 31,100 KROGER COMPANY 671,449 2,500 LOBLAW COMPANIES LIMITED 75,931 392 LUMINAR GROUP HOLDINGS PLC 887 2,800 MCDONALD'S HOLDINGS COMPANY (JAPAN) LIMITED 52,359 2,882 METRO AG 156,342 500 MINISTOP COMPANY LIMITED 8,168 1,100 MOS FOOD SERVICES INCORPORATED 18,773 800 NISSIN HEALTHCARE FOOD SERVICE COMPANY LIMITED 10,317 18,270 PANERA BREAD COMPANY+<< 953,877 2,000 PLENUS COMPANY LIMITED 29,575 42,032 PRESIDENT CHAIN STORE CORPORATION 96,791 12,307 RIPLEY CORPORATION SA 8,712 1,300 ROYAL HOLDINGS COMPANY LIMITED 14,446 21,816 SAFEWAY INCORPORATED 415,595 39,880 SEVEN & I HOLDINGS COMPANY LIMITED 964,320 23,782 SHOPRITE HOLDINGS LIMITED 177,276 470 SLIGRO FOOD GROUP NV 13,195 300 ST. MARC HOLDINGS COMPANY LIMITED 9,656 50,670 STARBUCKS CORPORATION+ 962,223 212,073 TESCO PLC 1,297,772 1,000 WATAMI FOOD SERVICE COMPANY 20,956 2,154 WETHERSPOON (J.D.) PLC+ 16,600 38,249 WHOLE FOODS MARKET INCORPORATED+<< 1,112,281 57,881 WOOLWORTHS LIMITED 1,370,769 400 YAOKO COMPANY LIMITED 12,982 37 YOSHINOYA D&C COMPANY LIMITED 45,330 2,200 ZENSHO COMPANY LIMITED 16,030 10,495,999 -------------- FOOTWEAR: 0.03% 8,000 ASICS CORPORATION 78,667 8,062 DECKERS OUTDOOR CORPORATION+<< 550,635 750 NG2 SA 12,071 641,373 -------------- 142 Wells Fargo Advantage Master Portfolios Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - --------------- ------------- -------------- FORESTRY: 0.03% 5,000 DAIKEN CORPORATION $ 10,210 24,577 GUNNS LIMITED(a) 23,888 7,300 SUMITOMO FORESTING 60,408 10,724 WEYERHAEUSER COMPANY 400,970 495,476 -------------- FURNITURE & FIXTURES: 0.33% 5,625 CERSANIT-KRASNYSTAW SA+ 32,473 480 DOREL INDUSTRIES INCORPORATED CLASS B 13,215 800 EKORNES ASA 12,231 20,538 ETHAN ALLEN INTERIORS INCORPORATED<< 319,161 6,000 FRANCE BED HOLDINGS COMPANY LIMITED 9,801 32,970 HERMAN MILLER INCORPORATED 534,773 29,247 HNI CORPORATION 628,226 6,141 HOUSEWARES INTERNATIONAL LIMITED 6,747 1,000 ITOKI CORPORATION 2,687 29,000 KINGBOARD LAMINATES HOLDINGS LIMITED 18,185 42,225 LEGGETT & PLATT INCORPORATED 770,606 99,278 MASCO CORPORATION 1,437,545 76,819 NEWELL RUBBERMAID INCORPORATED 1,069,320 5,775 NOBIA AB 29,287 4,000 NORITAKE COMPANY LIMITED 14,100 3,000 OKAMURA CORPORATION 17,055 1,500 SANGETSU COMPANY LIMITED 33,772 57,236 STEELCASE INCORPORATED 357,725 61,581 TEMPUR-PEDIC INTERNATIONAL<< 911,399 4,800 TOKYO STEEL MANUFACTURING COMPANY LIMITED 63,192 6,281,500 -------------- GAMING: 0.00% 471 BWIN INTERACTIVE ENTERTAINMENT AG+ 18,447 -------------- GAS DISTRIBUTION: 0.09% 6,312 AYGAZ AS 17,842 33,325 GAIL INDIA LIMITED 228,924 36,219 GAZ DE FRANCE 1,526,044 1,700 NIPPON GAS COMPANY LIMITED 26,199 1,799,009 -------------- GENERAL MERCHANDISE STORES: 0.93% 32,314 99 CENTS ONLY STORES+ 438,501 2,300 ASKUL CORPORATION 45,852 3,000 BELLUNA COMPANY LIMITED 13,219 33,600 BIG C SUPERCENTER PCL 45,198 50,952 BIG LOTS INCORPORATED+ 1,295,200 13,530 BJ'S WHOLESALE CLUB INCORPORATED+ 441,078 31,135 CASEY'S GENERAL STORES INCORPORATED 863,996 2,100 CAWACHI LIMITED 45,137 115,783 CENCOSUD SA 300,670 2,900 CIRCLE K SUNKUS COMPANY LIMITED 47,154 22,240 DAVID JONES LIMITED 93,798 1,900 DON QUIJOTE COMPANY LIMITED 45,535 80,561 DSG INTERNATIONAL PLC 36,460 3,600 FAMILYMART COMPANY LIMITED 111,424 57,268 FAR EASTERN DEPARTMENT STORES COMPANY LIMITED 49,932 39,469 FOOT LOCKER INCORPORATED 420,740 Wells Fargo Advantage Master Portfolios 143 Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - --------------- ------------- -------------- GENERAL MERCHANDISE STORES (continued) 32,351 FRED'S INCORPORATED $ 423,151 15,000 GOLDEN EAGLE RETAIL GROUP LIMITED 22,063 42,895 HARVEY NORMAN HOLDINGS LIMITED 142,844 221 HELLENIC DUTY FREE SHOPS SA 2,186 21,619 HOME RETAIL GROUP 109,878 1,206 HYUNDAI DEPARTMENT STORE COMPANY LIMITED 92,316 2,000 INAGEYA COMPANY LIMITED 20,161 24,000 INTIME DEPARTMENT STORE GROUP COMPANY LIMITED 15,978 5,000 IZUMIYA COMPANY LIMITED 30,629 53,500 JCPENNEY COMPANY INCORPORATED 1,607,140 35 JELMOLI HOLDING REGISTERED 13,610 3,400 LAWSON INCORPORATED 147,254 19,000 LIFESTYLE INTERNATIONAL HOLDINGS LIMITED 27,064 115,913 MACY'S INCORPORATED 1,798,970 41,803 MARKS & SPENCER GROUP PLC 231,245 1,800 MATSUYA COMPANY LIMITED 17,275 14,000 NEW WORLD DEPARTMENT STORE CHINA LIMITED 10,730 2,200 NISSEN COMPANY LIMITED 7,329 18,104 ORGANIZACION SORIANA SAB DE CV CLASS B 44,114 38,103 PACIFIC BRANDS LIMITED 35,908 335 PANTALOON RETAIL INDUSTRIAL CLASS B 1,565 3,200 PARCO COMPANY LIMITED 31,639 14,348 PICK'N PAY STORES LIMITED 69,531 290 RALLYE SA 9,425 133,684 SACI FALABELLA 555,256 115,504 SAKS INCORPORATED+<< 704,574 655 SEARS CANADA INCORPORATED+ 12,235 1,800 SENSHUKAI COMPANY LIMITED 12,632 1,158 SHINSEGAE COMPANY LIMITED 480,298 12,000 SIAM MAKRO PLC 24,787 1,091 SONAE CAPITAL+ 1,471 8,731 SONAE SGPS SA 10,752 2,200 SUGI PHARMACY COMPANY LIMITED 50,360 2,400 SUNDRUG COMPANY LIMITED 61,644 900 TSURUHA HOLDINGS INCORPORATED 35,207 22,122 UNION DE CERVECERIAS PERUANAS BACKUS & JOHNSTON SAA 26,955 55 VALORA HOLDING AG 11,931 225,713 WAL-MART DE MEXICO SA DE CV SERIES V 797,942 115,643 WAL-MART STORES INCORPORATED 5,882,759 3,951 WAREHOUSE GROUP LIMITED 10,900 56,000 WUMART STORES INCORPORATED 87,572 17,973,174 -------------- HEALTH SERVICES: 1.11% 602 ABENGOA SA 15,535 2,189 ACIBADEM SAGLIK HIZMETLERI VE TICARET AS 11,528 16,786 AMEDISYS INCORPORATED+<< 747,648 27,400 BANGKOK DUSIT MEDICAL SERVICES PCL 19,980 82,500 BANGKOK DUSIT MEDICAL SERVICES PCL THB 60,159 184 BASILEA PHARMACEUTICA+ 16,204 324 BIOMERIEUX 31,604 57,733 BIOTON SA+ 6,060 28,900 BUMRUNGRAD HOSPITAL PCL 22,518 47,000 CHINA SHINEWAY PHARMACEUTICAL GROUP LIMITED 44,026 702,000 CK LIFE SCIENCES INTERNATIONAL HOLDINGS INCORPORATED+ 35,777 896 CML HEALTHCARE 10,632 144 Wells Fargo Advantage Master Portfolios Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - --------------- ------------- -------------- HEALTH SERVICES (continued) 25,667 COMMUNITY HEALTH SYSTEMS INCORPORATED+ $ 789,774 16,019 COVANCE INCORPORATED+ 850,609 1,348 CRUCELL NV+ 29,471 25,936 DAVITA INCORPORATED+ 1,341,151 4,272 DIVI'S LABORATORIES LIMITED 46,062 13,969 EDWARDS LIFESCIENCES CORPORATION+ 864,402 4,894 FRESENIUS MEDICAL CARE AG & COMPANY 219,884 576 FRESENIUS SE 29,133 3,054 GLAXOSMITHKLINE PHARMACEUTICALS LIMITED 89,634 3,513 GRIFOLS SA 61,770 212,053 HEALTH MANAGEMENT ASSOCIATION INCORPORATED CLASS A+ 1,465,286 17,188 HEALTHSCOPE LIMITED 68,133 53,810 HEALTHSOUTH REHABILITATION CORPORATION+<< 839,974 18,632 HEALTHWAYS INCORPORATED+ 243,707 25,272 IBA HEALTH GROUP LIMITED 18,583 33,288 INTERVAL LEISURE GROUP INCORPORATED+ 349,191 26,871 LABORATORY CORPORATION OF AMERICA HOLDINGS+ 1,875,327 46,390 LIFEPOINT HOSPITALS INCORPORATED+<< 1,165,781 21,542 MAGELLAN HEALTH SERVICES INCORPORATED+ 691,283 2,000 MDS INCORPORATED+ 11,984 26,916 MEDI-CLINIC CORPORATION 78,885 28,138 MEDNAX INCORPORATED+ 1,465,146 109,957 NETWORK HEALTHCARE HOLDINGS LIMITED 146,148 1,100 NOVOZYMES A/S CLASS B 94,385 27,350 ODYSSEY HEALTHCARE INCORPORATED+ 352,268 315 ORPEA 15,354 35,066 PARKWAY HOLDINGS LIMITED 48,427 12,515 PRIMARY HEALTH CARE LIMITED 66,957 32,609 PSYCHIATRIC SOLUTIONS INCORPORATED+ 873,595 4,545 QIAGEN NV+ 93,371 4,312 RAMSAY HEALTH CARE LIMITED 38,267 2,264 RHOEN KLINIKUM AG 50,892 18,749 ROCHE HOLDING AG 2,979,938 11,720 RYMAN HEALTHCARE LIMITED 14,799 16,574 SONIC HEALTHCARE LIMITED 195,837 2,071 SOUTHERN CROSS HEALTHCARE LIMITED 4,265 2 TAKARA BIO INCORPORATED+ 4,931 418,134 TENET HEALTHCARE CORPORATION+ 1,948,504 500 TOWA PHARMACEUTICAL COMPANY LIMITED 25,202 11,852 UNIVERSAL HEALTH SERVICES CLASS B 696,424 1,541 VALLOUREC SA 234,064 4,108 ZELTIA SA 19,700 21,520,169 -------------- HEAVY CONSTRUCTION OTHER THAN BUILDING CONSTRUCTION CONTRACTS: 0.33% 6,553 ABB LIMITED INDIA 101,828 676 ACCIONA SA 87,560 4,409 ACTIVIDADES DE CONSTRUCCION Y SERVICIOS SA 227,169 2,240 AUTOSTRADA TORINO-MILANO SPA 25,144 17,000 CHEUNG KONG INFRASTRUCTURE HOLDINGS LIMITED 61,854 9,655 CIA DE CONCESSOES RODOVIARIAS 159,679 7,020 DAEWOO SHIPBUILDING & MARINE ENGINEERING COMPANY LIMITED 112,419 1,534 FOMENTO DE CONSTRUCCIONES Y CONTRATAS SA 61,950 27,316 FOSTER WHEELER AG+ 790,798 24,833 GMR INFRASTRUCTURE LIMITED+ 72,884 21,066 GRANITE CONSTRUCTION INCORPORATED<< 676,219 Wells Fargo Advantage Master Portfolios 145 Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - --------------- ------------- -------------- HEAVY CONSTRUCTION OTHER THAN BUILDING CONSTRUCTION CONTRACTS (continued) 1,360 GRUPO FERROVIAL SA $ 49,913 2,201 HANJIN HEAVY INDUSTRIES & CONSTRUCTION COMPANY LIMITED 48,641 2,540 HELLENIC TECHNODOMIKI TEV SA 21,848 28,000 HITACHI ZOSEN CORPORATION+ 37,313 34,500 HOPEWELL HIGHWAY INFRASTRUCTURE LIMITED 20,877 4,006 HYUNDAI HEAVY INDUSTRIES COMPANY LIMITED 611,052 13,452 LANCO INFRATECH LIMITED+ 115,565 56,329 MCDERMOTT INTERNATIONAL INCORPORATED+ 1,338,377 1,000 NAMURA SHIPBUILDING COMPANY LIMITED 6,566 136,500 PLUS EXPRESSWAYS BHD 131,015 14,570 SAMSUNG HEAVY INDUSTRIES COMPANY LIMITED 342,405 4,000 SASEBO HEAVY INDUSTRIES COMPANY LIMITED 8,469 1,100 SHO-BOND HOLDINGS COMPANY LIMITED 21,303 9,289 SKANSKA AB 134,407 1,409 SOCIETA INIZIATIVE AUTOSTRADALI E SERVIZI SPA 10,756 14,631 TECHNICAL OLYMPIC SA 9,858 335,000 TRUBA ALAM MANUNGGAL ENGINEERING PT+ 5,583 113,779 UNITECH LIMITED 250,162 13,452 VINCI SA 721,738 4,003 VT GROUP PLC 33,659 6,297,011 -------------- HOLDING & OTHER INVESTMENT OFFICES: 3.42% 23,229 3I GROUP PLC 114,770 62,697 ABB LIMITED 1,203,138 111,000 ABOITIZ POWER CORPORATION 14,104 585 ACKERMANS & VAN HAAREN NV 42,939 12,716 ADANI ENTERPRISES LIMITED 186,124 10,280 ADCOCK INGRAM HOLDINGS LIMITED 61,301 10,251 AFFILIATED MANAGERS GROUP INCORPORATED+<< 669,698 445 AFRICA ISRAEL INVESTMENTS LIMITED 5,215 23,332 ALAPIS HOLDING INDUSTRIAL AND COMMERCIAL SA OF PHARMACEUTICAL & ORGANIC PRODUCTS 20,069 5,160 ALCON INCORPORATED 668,065 24,594 ALEXANDRIA REAL ESTATE EQUITIES INCORPORATED<< 1,370,132 6,000 ALLIED GROUP LIMITED 12,773 3,479 AMALGAMATED HOLDINGS 16,467 40,382 AMB PROPERTY CORPORATION<< 921,921 13,668 ANADOLU EFES BIRACILIK VE MALT SANAYII AS 149,431 149,802 ANNALY CAPITAL MANAGEMENT INCORPORATED 2,597,567 11,696 ANTARCHILE SA 183,757 2,373 ARC ENERGY TRUST 37,673 14,340 ASHMORE GROUP PLC 55,794 19,176 ASPEN INSURANCE HOLDINGS LIMITED 487,070 24,098 ASPEN PHARMACARE HOLDINGS LIMITED 181,211 19,701 AVALONBAY COMMUNITIES INCORPORATED<< 1,269,335 997 AVEVA GROUP PLC 13,577 12,913 AYALA CORPORATION CLASS A 81,376 104,259 BABCOCK & BROWN INFRASTRUCTURE GROUP 6,697 33,620 BABCOCK & BROWN WIND PARTNERS 38,361 13,404 BARLOWORLD LIMITED 82,014 20,000 BEIJING ENTERPRISES HOLDINGS LIMITED 98,575 6,400 BINTULU PORT HOLDINGS BERHAD 11,050 83,946 BIOMED REALTY TRUST INCORPORATED 1,131,592 400 BOARDWALK REAL ESTATE INVESTMENT TRUST 13,409 2,770 BODYCOTE PLC 7,702 98 BOLLORE INVESTISSEMENT 16,438 146 Wells Fargo Advantage Master Portfolios Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - --------------- ------------- -------------- HOLDING & OTHER INVESTMENT OFFICES (continued) 9,289 BOSTON PROPERTIES INCORPORATED $ 562,728 16,900 BRADESPAR SA 261,297 13,750 BROOKFIELD ASSET MANAGEMENT INCORPORATED 280,464 18,042 CAMDEN PROPERTY TRUST 662,141 740 CANADIAN APARTMENT PROPERTIES REIT 8,990 491 CANADIAN REAL ESTATE INVESTMENT TRUST 10,836 110,434 CBL & ASSOCIATES PROPERTIES INCORPORATED<< 1,034,767 41,400 CITIC RESOURCES HOLDINGS LIMITED+ 11,324 3,240 CL FINANCIAL CORPORATION 59,931 2,926 CLAL INDUSTRIES AND INVESTMENTS 13,106 832 CLAL INSURANCE ENTERPRISE HOLDINGS LIMITED 17,308 2,704 CLOSE BROTHERS GROUP PLC 33,653 38,791 COLONIAL PROPERTIES TRUST<< 350,283 65,959 CONNECTEAST GROUP 21,184 549 CORPORATION FINANCIERA ALBA 29,782 32,043 COUSINS PROPERTIES INCORPORATED 265,632 1,000 D CARNEGIE & COMPANY AB(a) 2,501 76,000 DAIWA SECURITIES GROUP INCORPORATED 468,823 169,819 DCT INDUSTRIAL TRUST INCORPORATED 896,644 327 DEERFIELD CAPITAL CORPORATION 2,449 312 DELEK GROUP LIMITED 51,982 1,847 DELEK REAL ESTATE LIMITED 2,651 120,546 DEVELOPERS DIVERSIFIED REALTY CORPORATION<< 945,083 91,957 DIAMONDROCK HOSPITALITY 629,905 17,404 DIGITAL REALITY TRUST INCORPORATED<< 758,466 50,643 DOGAN SIRKETLER GRUBU HOLDINGS+ 47,601 10,287 DOGAN YAYIN HOLDING+ 11,247 1,100 DOUTOR NICHIRES HOLDINGS COMPANY LIMITED 16,586 61,597 DUKE REALTY CORPORATION 709,597 11,000 E-REVOLUTION COMPANY LIMITED+ 2,719 30,069 EMECO HOLDINGS LIMITED 19,696 42,478 EMPRESAS COPEC SA 506,292 30,329 ENTERTAINMENT PROPERTIES TRUST<< 951,117 8,852 EQSTRA HOLDINGS LIMITED+ 9,342 17,422 EQUITY LIFESTYLE PROPERTIES INCORPORATED 701,236 14,100 EQUITY RESIDENTIAL 385,071 17,150 ESSEX PROPERTY TRUST INCORPORATED<< 1,279,562 880 EURAZEO 47,690 1,228 EXOR SPA 21,108 38,385 EXTERRAN HOLDINGS INCORPORATED+<< 692,082 970 FIBI HOLDINGS LIMITED 16,118 158 FIMALAC 8,245 439 FINANCIERE DE TUBIZE 13,311 72,600 FIRST GEN CORPORATION+ 31,989 53,043 FRANKLIN STREET PROPERTIES CORPORATION<< 753,741 956 GAGFAH SA 8,634 3,892 GEA GROUP AG 68,964 10,922 GEMINA SPA 8,455 165,200 GENTING BHD 313,371 386 GIMV NV 19,838 25,746 GOODMAN PROPERTY TRUST 17,315 2,000 GREAT EASTERN HOLDINGS LIMITED 18,793 43,259 GRUPO CARSO SA DE CV 137,510 2,970 GS HOLDINGS CORPORATION 78,477 182,000 GUANGZHOU INVESTMENT COMPANY LIMITED 31,467 971 H&R REAL ESTATE INVESTMENT 12,089 Wells Fargo Advantage Master Portfolios 147 Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - --------------- ------------- -------------- HOLDING & OTHER INVESTMENT OFFICES (continued) 36,585 HACI OMER SABANCI HOLDING AS $ 141,454 74,756 HCP INCORPORATED 2,129,051 14,788 HENDERSON GROUP PLC 31,056 33,600 HKR INTERNATIONAL LIMITED 13,222 20,199 HOME PROPERTIES INCORPORATED<< 766,956 96,614 HOSPITALITY PROPERTIES TRUST 1,760,307 164,900 HOST HOTELS & RESORTS INCORPORATED<< 1,644,053 196,418 HRPT PROPERTIES TRUST<< 1,272,789 5,000 HUFVUDSTADEN AB 38,632 2,714 HUNTING PLC 21,959 13,384 ICAP PLC 93,581 8,139 IG GROUP HOLDINGS PLC 46,600 14,675 IMPERIAL HOLDING LIMITED 139,780 134,610 IMPULSORA DEL DESARROLLO Y EL EMPLEO EN AMERICA LATINA SA DE CV+ 112,290 4,600 INDUSTRIVARDEN AB CLASS A 54,766 2,400 INDUSTRIVARDEN AB CLASS C 25,876 11,580 INFRATIL LIMITED 13,748 4,745 INVERCAP SA 39,545 8,650 INVESTEC PLC 61,087 204,096 INVESTIMENTOS ITAU SA 1,037,427 11,721 INVESTOR AB 218,170 4,600 INVESTOR AB A SHARES 82,876 518 ISTITUTO FINANZIARIO INDUSTRIALE SPA 5,180 20,800 J FRONT RETAILING COMPANY LIMITED 117,803 1,400 JAFCO COMPANY LIMITED 47,243 3,000 JAPAN ASIA INVESTMENT COMPANY LIMITED 2,225 14,214 JARDINE MATHESON HOLDINGS LIMITED 412,206 15,075 JM FINANCIAL LIMITED 14,002 36,305 KILROY REALTY CORPORATION<< 1,006,012 103,571 KIMCO REALTY CORPORATION 1,299,816 1,586 KKR FINANCIAL CORPORATION 6,122 157,800 KNM GROUP BHD 33,608 56,888 KOC HOLDING AS+ 150,932 55,010 LASALLE HOTEL PROPERTIES 910,416 12,347 LG CORPORATION 752,347 29,051 LIBERTY PROPERTY TRUST 952,001 26,000 LION DIVERSIFIED HOLDINGS BHD 4,061 21,180 MACERICH COMPANY 607,019 20,338 MACK-CALI REALTY CORPORATION 651,426 106,235 MACQUARIE INFRASTRUCTURE GROUP 119,421 7,395 MACQUARIE LEISURE TRUST GROUP 8,813 3,300 MATSUMOTOKIYOSHI HOLDINGS COMPANY LIMITED 82,810 40,200 METROPOLITAN BANK & TRUST COMPANY 32,130 227,593 MFA MORTGAGE INVESTMENTS INCORPORATED 1,802,537 17,330 MID-AMERICA APARTMENT COMMUNITIES INCORPORATED 758,707 10,202 MIGDAL INSURANCE & FINANCIAL HOLDING LIMITED+ 15,716 7,231 MITIE GROUP 30,606 440 MITSUBISHI UFJ FINANCIAL GROUP INCORPORATED<< 2,790 1,057 MLP AG 11,865 109,200 MMC CORPORATION BHD 72,872 222,700 MULPHA INTERNATIONAL BHD+ 29,723 42,700 MULTI-PURPOSE HOLDINGS BHD 25,221 21,500 MURRAY & ROBERTS HOLDINGS LIMITED 152,002 69,639 NATIONAL RETAIL PROPERTIES INCORPORATED<< 1,428,992 1,128 NATIONALE A PORTEFEUILLE 58,548 3 NIPPON ACCOMMODATIONS FUND INCORPORATED 16,507 148 Wells Fargo Advantage Master Portfolios Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - --------------- ------------- -------------- HOLDING & OTHER INVESTMENT OFFICES (continued) 742 NPIL RESEARCH & DEVELOPMEN+ $ 1,202 36,488 PAMPA CALICHERA (SOCD INVER) 56,338 555 PARGESA HOLDING SA 44,079 4,930 PETROBRAS ENERGIA PARTICIPACIONES SA+<< 32,686 8 PILOT CORPORATION 9,363 27,556 POST PROPERTIES INCORPORATED 469,554 1,451 PREMIER INVESTMENTS LIMITED 8,695 121,806 PROLOGIS 1,354,483 8,761 PUBLIC STORAGE INCORPORATED CLASS D 618,089 2,500 RATOS AB B SHARES 58,826 90,481 REALTY INCORPORATEDOME CORPORATION 2,311,790 58,632 REDWOOD TRUST INCORPORATED 939,871 33,960 REMGRO LIMITED 375,417 1,117 RHJ INTERNATIONAL+ 8,551 1,045 SBI HOLDINGS INCORPORATED 234,269 2,808 SCHRODERS PLC 49,416 19,000 SHANGHAI INDUSTRIAL HOLDINGS LIMITED 90,950 8,005 SIEMENS INDIA LIMITED 84,796 176,840 SIME DARBY BHD 414,292 18,958 SIMON PROPERTY GROUP INCORPORATED<< 1,206,108 145,099 SINO-OCEAN LAND HOLDINGS LIMITED 131,424 64,322 SL GREEN REALTY CORPORATION<< 2,269,923 12,875 SM INVESTMENTS CORPORATION 87,733 449 SOFINA SA 40,012 33,400 SOFTBANK CORPORATION 748,404 52 SONY FINANCIAL HOLDINGS INCORPORATED 157,928 1,028 STX CORPORATION 18,191 10,882 SUN HUNG KAI PROPERTIES LIMITED<< 147,995 4,109 SUN INTERNATIONAL LIMITED 44,370 57,539 SUNSTONE HOTEL INVESTORS INCORPORATED<< 360,194 47,500 SWIRE PACIFIC LIMITED B SHARES 92,911 5,130 TAKEFUJI CORPORATION 26,243 19,438 TANGER FACTORY OUTLET CENTERS INCORPORATED 731,258 32,342 TAUBMAN CENTERS INCORPORATED<< 1,024,271 26,000 TCC INTERNATIONAL HOLDINGS LIMITED+ 12,144 6,092 TEKFEN HOLDING AS+ 16,730 200 THE ISRAEL CORPORATION LIMITED 119,552 6,200 TISCO FINANCIAL GROUP PCL 3,245 7,000 TOKUSHU TOKAI HOLDINGS COMPANY LIMITED 18,807 11,000 TOP GLOVE CORPORATION BHD 21,709 39,524 UDR INCORPORATED 505,512 216,000 UNITED ENERGY GROUP LIMITED+ 11,705 25,000 VALUE PARTNERS GROUP LIMITED 10,677 43,225 VENTAS INCORPORATED<< 1,694,852 75,607 VIRGIN MEDIA INCORPORATED 864,188 292,000 WANT WANT CHINA HOLDINGS LIMITED 155,228 6,632 WASHINGTON H SOUL PATTINSON & COMPANY LIMITED 68,329 147,914 WATERLAND FINANCIAL HOLDINGS 45,161 31,474 WEINGARTEN REALTY INVESTORS 625,074 659 WENDEL INVESTISSEMENT 31,106 137,203 YTL POWER INTERNATIONAL BHD 86,105 65,997,198 -------------- HOME FURNITURE, FURNISHINGS & EQUIPMENT STORES: 0.26% 900 AMER SPORTS OYJ 9,574 8,000 BEST DENKI COMPANY LIMITED 41,096 Wells Fargo Advantage Master Portfolios 149 Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - --------------- ------------- -------------- HOME FURNITURE, FURNISHINGS & EQUIPMENT STORES (continued) 8,505 FISHER & PAYKEL APPLIANCES HOLDINGS LIMITED $ 4,669 570 FOURLIS HOLDINGS SA 8,392 10,092 GALIFORM PLC+ 10,203 9,019 GAME GROUP PLC 24,079 5,154 JB HI-FI LIMITED 77,496 8,526 JD GROUP LIMITED 46,567 2,000 JOSHIN DENKI COMPANY LIMITED 16,099 1,600 K'S HOLDINGS CORPORATION 49,092 3,900 KOKUYO COMPANY LIMITED 35,291 101,310 MATSUSHITA ELECTRIC INDUSTRIAL COMPANY LIMITED 1,622,267 1,400 NAFCO COMPANY LIMITED 28,075 2,100 NITORI COMPANY LIMITED 162,493 6,700 PIONEER CORPORATION 21,601 31,908 RADIOSHACK CORPORATION 482,768 3,800 SHIMANO INCORPORATED 162,128 8,586 THOMSON 11,755 13,000 TOTO LIMITED 90,532 82,597 WILLIAMS-SONOMA INCORPORATED<< 1,580,081 1,800 XEBIO COMPANY LIMITED 39,172 4,440 YAMADA DENKI COMPANY LIMITED 302,521 8,800 YAMAHA CORPORATION 113,015 4,938,966 -------------- HOTELS: 0.00% 4,033 WOTIF.COM HOLDINGS LIMITED 18,952 -------------- HOTELS, ROOMING HOUSES, CAMPS & OTHER LODGE PLACES: 0.25% 6,000 ASSOCIATED INTERNATIONAL HOTELS+ 13,238 13,000 BANYAN TREE HOLDINGS LIMITED 7,849 49,919 BOYD GAMING CORPORATION+ 513,167 16,982 EGYPTIAN FOR TOURISM RESORTS+ 8,327 18,345 EIH LIMITED 43,829 4,620 FORMOSA INTERNATIONAL HOTELS CORPORATION 54,879 2,000 FUJITA KANKO INCORPORATED 8,641 22,537 GAYLORD ENTERTAINMENT COMPANY+<< 457,952 22,774 HONGKONG & SHANGHAI HOTELS LIMITED 25,417 450 IMPERIAL HOTEL LIMITED 9,044 33,173 INDIAN HOTELS COMPANY LIMITED 44,367 5,900 INTERCONTINENTAL HOTELS GROUP PLC 73,524 29,000 KLCC PROPERTY HOLDINGS BHD 27,176 2,273 MILLENNIUM & COPTHORNE HOTELS PLC 13,861 23,100 MINOR INTERNATIONAL PCL 7,200 72,600 MINOR INTERNATIONAL PCL ADR 22,627 1,660 NH HOTELES SA+ 8,032 5,985 ORASCOM HOTELS & DEVELOPMENT+ 23,119 1,136 ORBIS SA 19,869 47,231 ORIENT EXPRESS HOTELS LIMITED CLASS A<< 470,421 74,000 SHANGRI-LA ASIA LIMITED 108,845 14,783 SINO HOTELS HOLDINGS LIMITED 5,074 20,701 SKY CITY ENTERTAINMENT GROUP LIMITED 46,312 48,101 STARWOOD HOTELS & RESORTS WORLDWIDE INCORPORATED<< 1,432,448 14,625 TUI TRAVEL PLC 57,189 17,516 VAIL RESORTS INCORPORATED+ 580,130 49,324 WYNDHAM WORLDWIDE CORPORATION 747,259 4,829,796 -------------- 150 Wells Fargo Advantage Master Portfolios Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - --------------- ------------- -------------- INDUSTRIAL & COMMERCIAL MACHINERY & COMPUTER EQUIPMENT: 4.86% 32,700 3M COMPANY $ 2,357,670 83,500 A-MAX HOLDINGS LIMITED 2,338 43,480 ACTUANT CORPORATION CLASS A 614,372 29,093 ADVANTECH COMPANY LIMITED 46,843 2,700 AIDA ENGINEERING LIMITED 9,401 5,145 ALSTOM RGPT 361,457 17,000 AMADA COMPANY LIMITED 119,301 638 ANDRITZ AG 28,994 61,888 APPLE INCORPORATED+ 10,410,180 2,000 ASAHI DIAMOND INDUSTRIAL COMPANY LIMITED 15,003 9,475 ASTEC INDUSTRIES INCORPORATED+ 240,002 16,159 ATLAS COPCO AB CLASS A 203,166 10,167 ATLAS COPCO AB CLASS B 113,832 5,945,000 BAKRIE & BROTHERS PT+ 77,851 76,032 BENQ CORPORATION 35,110 16,600 BLACK & DECKER CORPORATION 732,392 14,654 BLACK BOX CORPORATION 366,936 826 BNK PETROLEUM INCORPORATED+ 520 150 BOBST GROUP AG 6,197 45,088 BRIGGS & STRATTON CORPORATION<< 795,352 106,488 BROCADE COMMUNICATIONS SYSTEMS INCORPORATED+ 769,908 80 BUCHER INDUSTRIES AG 9,353 18,272 BUCYRUS INTERNATIONAL INCORPORATED CLASS A 545,419 54,038 CAMERON INTERNATIONAL CORPORATION+ 1,929,697 3,700 CANON FINETECH INCORPORATED 44,893 3,604 CAP GEMINI SA 174,325 2,500 CAPCOM COMPANY LIMITED 49,167 12,200 CASIO COMPUTER COMPANY LIMITED 120,754 38,740 CATCHER TECHNOLOGY COMPANY LIMITED 100,038 6,000 CHEN HSONG HOLDINGS 1,897 31,303 CHICONY ELECTRONICS COMPANY LIMITED 74,937 42,000 CHINA INFRASTRUCTURE MACHINERY HOLDINGS LIMITED 25,036 3,000 CHUGAI RO COMPANY LIMITED 9,189 2,400 CKD CORPORATION 13,928 46,587 CLEVO COMPANY+ 56,966 2,876 CRANE GROUP LIMITED 25,426 13,640 CROMPTON GREAVES LIMITED 90,584 44,719 CUMMINS INCORPORATED 2,026,665 8,000 DAIHEN CORPORATION 32,929 1,451 DASSAULT SYSTEMES SA 74,158 159,531 DELTA ELECTRONICS INCORPORATED 426,495 16,722 DIEBOLD INCORPORATED 504,503 1,100 DISCO CORPORATION 65,610 16,464 DONALDSON COMPANY INCORPORATED 618,552 3,750 DOOSAN HEAVY INDUSTRIES & CONSTRUCTION COMPANY LIMITED 190,368 6,870 DOOSAN INFRACORE COMPANY LIMITED 96,540 20,359 DRESSER RAND GROUP INCORPORATED+ 604,662 18,845 DRIL-QUIP INCORPORATED+ 803,928 50 EACCESS LIMITED 36,808 45,100 EATON CORPORATION 2,433,145 16,000 EBARA CORPORATION 71,703 137,220 EMC CORPORATION+ 2,181,798 14,111 FLOWSERVE CORPORATION 1,217,074 30,702 FMC TECHNOLOGIES INCORPORATED+ 1,464,485 90,000 FONG'S INDUSTRIES COMPANY LIMITED 22,412 62,312 FOXCONN TECHNOLOGY COMPANY LIMITED 159,016 Wells Fargo Advantage Master Portfolios 151 Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - --------------- ------------- -------------- INDUSTRIAL & COMMERCIAL MACHINERY & COMPUTER EQUIPMENT (continued) 30,000 FUJI HEAVY INDUSTRIES LIMITED $ 129,608 1,600 FUJI MACHINE MANUFACTURING COMPANY LIMITED 22,268 1,100 FUJI SOFT INCORPORATED 20,818 97,000 FUJITSU LIMITED 652,574 10,000 FURUKAWA COMPANY LIMITED 14,508 40,541 GAMESTOP CORPORATION CLASS A+ 964,876 32,311 GARDNER DENVER INCORPORATED+ 1,049,138 689 GILDEMEISTER AG 8,712 167,515 HEWLETT-PACKARD COMPANY 7,519,748 5,000 HEXAGON AB 51,626 58,139 HIGH TECH COMPUTER CORPORATION 584,626 1,000 HISAKA WORKS LIMITED 10,822 4,200 HITACHI CONSTRUCTION MACHINERY COMPANY LIMITED 85,264 5,000 HITACHI KOKI COMPANY LIMITED 52,875 155,000 HITACHI LIMITED 546,373 900 HITACHI SOFTWARE ENGINEERING COMPANY LIMITED 25,535 555,335 HON HAI PRECISION INDUSTRY COMPANY LIMITED 1,872,683 4,000 HOSOKAWA MICRON CORPORATION 18,485 49,793 IDEX CORPORATION 1,316,527 2,232 INDRA SISTEMAS SA 52,957 15,899 INGERSOLL-RAND PLC 491,120 91,946 INTERNATIONAL BUSINESS MACHINES CORPORATION 10,854,225 200,024 INVENTEC COMPANY LIMITED 110,596 8,000 ISEKI & COMPANY LIMITED 36,454 3,706 IT HOLDINGS CORPORATION 52,414 1,300 ITOCHU TECHNO-SCIENCE CORPORATION 38,280 52,000 JOHNSON ELECTRIC HOLDINGS LIMITED 20,598 25,486 JOY GLOBAL INCORPORATED 990,131 20,424 KAYDON CORPORATION 681,753 5,000 KITZ CORPORATION 22,730 46,230 KOMATSU LIMITED 833,680 4,400 KONAMI CORPORATION 86,676 55,865 KUBOTA CORPORATION 461,689 31,191 LAM RESEARCH CORPORATION+<< 957,564 20,594 LARSEN & TOUBRO LIMITED 674,659 178,000 LENOVO GROUP LIMITED 75,100 21,400 LEXMARK INTERNATIONAL INCORPORATED+<< 403,176 17,390 LG PHILLIPS LCD COMPANY LIMITED 513,805 99,375 LITE-ON TECHNOLOGY CORPORATION 111,402 3,810 LOGITECH INTERNATIONAL SA+ 70,234 2,251 MAHARASHTRA SEAMLESS LIMITED 13,732 4,000 MAKINO MILLING MACHINE COMPANY LIMITED 15,862 1 MAKITA CORPORATION 29 2,539 MAN AG 194,009 80,112 MANITOWOC COMPANY INCORPORATED 531,944 1,000 MARUYAMA MANUFACTURING COMPANY INCORPORATED 2,203 2,000 MAX COMPANY LIMITED 21,623 8,000 MEIDENSHA CORPORATION 43,761 1,400 MEITEC CORPORATION 27,819 2,000 MELCO HOLDINGS INCORPORATED 36,754 2,885 METSO OYJ 72,503 49,753 MICROS SYSTEMS INCORPORATED+ 1,386,616 3,400 MISUMI GROUP INCORPORATED 63,031 10,277 MISYS PLC 31,035 90,131 MITAC INTERNATIONAL CORPORATION 36,691 100,000 MITSUBISHI ELECTRIC CORPORATION 743,686 152 Wells Fargo Advantage Master Portfolios Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - --------------- ------------- -------------- INDUSTRIAL & COMMERCIAL MACHINERY & COMPUTER EQUIPMENT (continued) 6,300 MITSUI HIGH-TEC INCORPORATED $ 81,247 3,000 MIURA COMPANY LIMITED 75,282 500 MODEC INCORPORATED 9,796 3,400 MORI SEIKI COMPANY LIMITED 38,805 4,000 NABTESCO CORPORATION 44,535 8,000 NACHI-FUJIKOSHI CORPORATION 18,485 28,640 NATIONAL OILWELL VARCO INCORPORATED+ 1,041,064 601 NCSOFT CORPORATION 65,928 149 NEC CORPORATION ADR 540 897 NEOPOST SA 73,942 17 NET ONE SYSTEMS COMPANY LIMITED 27,934 900 NETUREN COMPANY LIMITED 6,954 2,900 NIHON UNISYS LIMITED 24,839 2,000 NIPPON THOMPSON COMPANY LIMITED 12,251 700 NITTO KOHKI COMPANY LIMITED 13,865 7,200 NOMURA RESEARCH INSTITUTE LIMITED 171,779 19,067 NORDSON CORPORATION 1,021,610 54,222 NUANCE COMMUNICATIONS INCORPORATED+<< 668,557 330 OBIC COMPANY LIMITED 53,942 1,107 OCE NV 6,491 1,080 OILES CORPORATION 17,793 1,500 OKAYA & COMPANY LIMITED 14,025 1,500 ORACLE CORPORATION JAPAN 62,225 1,000 ORGANO CORPORATION 7,813 3,095 ORMAT INDUSTRIES 24,736 900 OTSUKA CORPORATION 54,455 679 OUTOTEC OYJ 19,692 78,030 PALM INCORPORATED+<< 1,040,140 40,000 PARKER HANNIFIN CORPORATION 1,946,400 956 PASON SYSTEMS INCORPORATED 9,126 27,143 PENTAIR INCORPORATED 768,961 57,100 PITNEY BOWES INCORPORATED 1,276,185 588 PRAKTIKER BAU- UND HEIMWERKERMAERKTE AG 7,595 1,108 RAMIRENT OYJ 10,261 3,700 RISO KAGAKU CORPORATION 49,188 119,000 RITEK CORPORATION+ 28,560 8,000 RYOBI LIMITED 23,729 34,419 SAGE GROUP PLC 123,663 98,000 SANYO ELECTRIC COMPANY LIMITED+ 264,352 1,100 SATO CORPORATION 14,351 512 SCHINDLER HOLDING SA 33,895 15,503 SCIENTIFIC GAMES CORPORATION CLASS A+ 239,056 133,384 SEAGATE TECHNOLOGY HOLDINGS<< 1,847,368 1,328 SHAW INDUSTRIES LIMITED CLASS A 30,690 21,000 SHIHLIN ELECTRIC 25,902 1,400 SHIMA SEIKI MANUFACTURING LIMITED 32,574 500 SHINWA COMPANY LIMITED NAGOYA 6,900 5,880 SIMS GROUP LIMITED 115,448 1,900 SINTOKOGIO LIMITED 15,764 976 SKF AB 14,972 3,000 SMC CORPORATION 349,812 54,376 SMITH INTERNATIONAL INCORPORATED 1,499,146 108,209 SONUS NETWORKS INCORPORATED+ 228,321 1,761 SPIRAX-SARCO ENGINEERING PLC 27,966 12,100 SPX CORPORATION 673,728 8,700 STANLEY ELECTRIC COMPANY LIMITED 175,402 Wells Fargo Advantage Master Portfolios 153 Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - --------------- ------------- -------------- INDUSTRIAL & COMMERCIAL MACHINERY & COMPUTER EQUIPMENT (continued) 21,630 STANLEY WORKS $ 885,316 750 SULZER AG 58,008 28,000 SUMITOMO HEAVY INDUSTRIES LIMITED 141,730 4,000 TADANO LIMITED 19,645 32,166 TATA CONSULTANCY SERVICES LIMITED 347,222 2,734 TATA TEA LIMITED 52,908 5,900 TDK CORPORATION 343,031 2,505 THERMAX INDIA LIMITED 24,206 5,500 THK COMPANY LIMITED 103,084 1,640 TIETOENATOR OYJ 29,953 20,863 TIMKEN COMPANY 440,418 1,200 TORI HOLDINGS COMPANY LIMITED 722 21,162 TORO COMPANY<< 802,675 186,000 TOSHIBA CORPORATION 955,486 3,000 TOSHIBA MACHINE COMPANY LIMITED 12,026 6,000 TOYO KANETSU K K 12,058 62,000 TPV TECHNOLOGY LIMITED 33,678 5,000 TREND MICRO INCORPORATED 196,668 11,000 TSUBAKIMOTO CHAIN COMPANY 47,877 2,000 UCHIDA YOKO COMPANY LIMITED 6,706 500 UNION TOOL COMPANY 15,341 30,876 VARIAN MEDICAL SYSTEMS INCORPORATED+ 1,329,829 15,003 WATSCO INCORPORATED<< 792,608 5,496 WEIR GROUP PLC 57,933 60,736 WESTERN DIGITAL CORPORATION+<< 2,082,030 755 WINCOR NIXDORF AG 42,797 127,565 WISTRON CORPORATION 247,252 35,184 WOODWARD GOVERNOR COMPANY 738,512 2,900 YAMAZEN CORPORATION 11,718 111,500 YIEH PHUI ENTERPRISE 42,850 3,366 ZARDOYA-OTIS SA 73,548 93,802,767 -------------- INDUSTRIAL - JAPAN: 0.00% 1,000 TSUKISHIMA KIKAI COMPANY LIMITED 7,007 -------------- INDUSTRIAL MACHINERY, COMPONENTS: 0.00% 338 DEMAG CRANES AG 10,176 -------------- INFORMATION & BUSINESS SERVICES: 0.00% 4 MIXI INCORPORATED+ 25,750 -------------- INSURANCE AGENTS, BROKERS & SERVICE: 0.32% 26,460 ARTHUR J. GALLAGHER & COMPANY 628,954 1,303 BALOISE HOLDING AG 118,007 8,609 BEAZLEY PLC 15,753 632,000 CATHAY FINANCIAL HOLDING COMPANY LIMITED 884,164 857 CNP ASSURANCES 85,585 670 GRUPO CATALANA OCCIDENTE SA 14,379 438 HAREL INSURANCE INVESTMENTS & FINANCES LIMITED 21,049 4,079 JARDINE LLOYD THOMPSON GROUP PLC 32,007 25,709 MARSH & MCLENNAN COMPANIES INCORPORATED 605,190 7,100 MATSUI SECURITIES COMPANY LIMITED 65,773 1,664 MENORAH MIVTACHIM HOLDINGS LIMITED+ 20,069 32,422 NATIONAL FINANCIAL PARTNERS CORPORATION<< 254,513 58,974 STANDARD LIFE PLC 188,845 13,000 TOKYO TATEMONO COMPANY LIMITED 76,840 154 Wells Fargo Advantage Master Portfolios Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - --------------- ------------- -------------- INSURANCE AGENTS, BROKERS & SERVICE (continued) 91,153 UNUM GROUP $ 2,053,677 46,024 WILLIS GROUP HOLDINGS LIMITED 1,186,952 6,251,757 -------------- INSURANCE CARRIERS: 4.10% 16,979 ACE LIMITED 885,964 4,546 ADMIRAL GROUP PLC 79,113 37,495 AEGON NV 282,366 23,800 AFLAC INCORPORATED 966,756 22,000 AIOI INSURANCE COMPANY LIMITED 108,759 4,510 AKSIGORTA AS 15,333 11,131 ALLEANZA ASSICURAZIONI SPA 91,357 1,524 ALLEGHANY CORPORATION+ 423,062 12,063 ALLIANZ AG 1,393,693 9,022 ALLIED WORLD ASSURANCE HOLDINGS 417,989 26,327 ALLSTATE CORPORATION 773,751 127 AMB GENERALI HOLDING AG 10,724 161,300 AMBAC FINANCIAL GROUP INCORPORATED<< 283,888 19,695 AMERICAN FINANCIAL GROUP INCORPORATED 505,177 32,558 AMERIGROUP CORPORATION+ 769,997 12,657 AMLIN PLC 76,073 95,968 AMP LIMITED 515,874 15,416 ARCH CAPITAL GROUP LIMITED+<< 1,001,578 26,598 ARGO GROUP INTERNATIONAL HOLDINGS LIMITED+ 939,441 32,410 ASSICURAZIONI GENERALI SPA 807,067 32,448 ASSURANT INCORPORATED 971,818 85,444 ASSURED GUARANTY LIMITED<< 1,700,336 69,757 AVIVA PLC 461,284 45,173 AXA ASIA PACIFIC HOLDINGS LIMITED 164,175 43,792 AXA SA 996,956 39,348 AXIS CAPITAL HOLDINGS LIMITED 1,199,327 6,808 BRIT INSURANCE HOLDINGS PLC 24,095 31,300 BROWN & BROWN INCORPORATED 621,931 8,639 CATLIN GROUP LIMITED 46,692 28,000 CHINA INSURANCE INTERNATIONAL HOLDINGS COMPANY LIMITED 75,505 63,000 CHINA LIFE INSURANCE COMPANY+ 36,748 493,000 CHINA LIFE INSURANCE COMPANY LIMITED CLASS H 2,080,021 17,936 CHUBB CORPORATION 885,859 74,780 CIGNA CORPORATION 2,200,775 41,834 CINCINNATI FINANCIAL CORPORATION<< 1,075,970 38,427 DELPHI FINANCIAL GROUP CLASS A 898,039 18,723 DISCOVERY HOLDINGS LIMITED 67,147 2,970 DONGBU INSURANCE COMPANY LIMITED 90,368 13,858 ENDURANCE SPECIALTY HOLDINGS LIMITED<< 477,685 8,738 ERIE INDEMNITY COMPANY 337,898 155 EULER HERMES SA 10,424 16,058 EVEREST REINSURANCE GROUP LIMITED<< 1,353,850 500 FAIRFAX FINANCIAL HOLDINGS LIMITED 169,984 424 FBD HOLDINGS PLC 4,407 64,622 FIDELITY NATIONAL TITLE GROUP INCORPORATED 970,622 22,613 FIRST AMERICAN CORPORATION 712,762 1,309 FONDIARIA-SAI SPA 15,304 51,242 FRIENDS PROVIDENT PLC 71,324 6,000 FUJI FIRE & MARINE INSURANCE COMPANY LIMITED 8,318 119,062 GENWORTH FINANCIAL INCORPORATED 1,257,295 6,800 GREAT-WEST LIFECO INCORPORATED 161,250 Wells Fargo Advantage Master Portfolios 155 Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - --------------- ------------- -------------- INSURANCE CARRIERS (continued) 1,378 HANNOVER RUECKVERSICHERUNG AG $ 60,648 102,682 HARTFORD FINANCIAL SERVICES GROUP INCORPORATED 2,435,617 30,987 HCC INSURANCE HOLDINGS INCORPORATED 819,296 26,400 HEALTH NET INCORPORATED+ 404,448 122 HELVETIA HOLDING AG 39,058 33,298 HORACE MANN EDUCATORS CORPORATION 407,901 5,220 HYUNDAI MARINE & FIRE INSURANCE COMPANY LIMITED 91,117 1,639 INDUSTRIAL ALLIANCE INSURANCE & FINANCIAL SERVICES INCORPORATED 44,166 2,175 ING CANADA INCORPORATED 67,510 95,080 INSURANCE AUSTRALIA GROUP LIMITED 287,695 39,054 IPC HOLDINGS LIMITED 1,266,131 3,396 KOREA REINSURANCE COMPANY 30,863 144,108 LEGAL & GENERAL GROUP PLC 180,642 43,904 LEUCADIA NATIONAL CORPORATION 1,091,892 16,126 LIBERTY HOLDINGS LIMITED 133,701 71,060 LINCOLN NATIONAL CORPORATION 1,793,545 18,070 LOEWS CORPORATION 617,091 42,600 MANULIFE FINANCIAL CORPORATION 876,710 14,680 MAPFRE SA 60,401 2,539 MARKEL CORPORATION+<< 834,976 40,918 MAX CAPITAL GROUP LIMITED 837,182 173,505 MBIA INCORPORATED<< 1,165,954 4,991 MEDIOLANUM SPA 31,608 7,221 MERCURY GENERAL CORPORATION<< 268,260 1,194 MERITZ FIRE MARINE INSURANCE 7,467 29,526 METLIFE INCORPORATED 1,114,902 77,139 MGIC INVESTMENT CORPORATION<< 627,140 2,804 MILANO ASSICURAZIONI SPA 9,226 38,000 MILLEA HOLDINGS INCORPORATED 1,131,220 19,700 MITSUI SUMITOMO INSURANCE GROUP HOLDINGS INCORPORATED 555,750 69,908 MONTPELIER RE HOLDINGS LIMITED 1,124,820 5,394 MUENCHENER RUECKVERSICHERUNGS-GESELLSCHAFT AG 804,453 226 MUTUAL & FEDERAL INSURANCE COMPANY LIMITED 508 35,000 NIPPONKOA INSURANCE COMPANY LIMITED 217,786 11,000 NISSAY DOWA GENERAL INSURANCE COMPANY LIMITED 56,153 147,010 OLD MUTUAL PLC 224,606 58,885 OLD REPUBLIC INTERNATIONAL CORPORATION 701,320 15,572 PARTNERRE LIMITED 1,150,927 174,000 PICC PROPERTY & CASUALTY COMPANY LIMITED 109,333 108,000 PING AN INSURANCE GROUP COMPANY OF CHINA LIMITED 808,211 8,400 POWER CORPORATION OF CANADA 223,974 6,000 POWER FINANCIAL CORPORATION 164,640 80,055 PRINCIPAL FINANCIAL GROUP INCORPORATED 2,273,562 20,667 PROASSURANCE CORPORATION+ 1,085,018 32,400 PROGRESSIVE CORPORATION 535,248 72,412 PROTECTIVE LIFE CORPORATION 1,559,754 21,662 PRUDENTIAL FINANCIAL INCORPORATED 1,095,664 67,454 PRUDENTIAL PLC 589,689 46,599 QBE INSURANCE GROUP LIMITED 901,141 11,928 RLI CORPORATION 632,303 89,356 ROYAL & SUN ALLIANCE INSURANCE GROUP PLC 189,980 3,276 SAMSUNG FIRE & MARINE INSURANCE COMPANY LIMITED 587,576 144,233 SANLAM LIMITED 380,076 4,399 SCOR REGROUPE 115,755 48,164 SELECTIVE INSURANCE GROUP INCORPORATED 819,751 873 SOCIETA CATTOLICA DI ASSICURAZIONI SCRL 29,621 156 Wells Fargo Advantage Master Portfolios Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - --------------- ------------- -------------- INSURANCE CARRIERS (continued) 46,000 SOMPO JAPAN INSURANCE INCORPORATED $ 313,917 3,058 ST. JAMES'S PLACE PLC 11,465 42,705 STANCORP FINANCIAL GROUP INCORPORATED 1,616,367 7,000 STOREBRAND ASA 38,062 14,600 SUN LIFE FINANCIAL INCORPORATED 432,099 671 SWISS LIFE HOLDING 75,914 8,754 SWISS REINSURANCE 403,598 12,150 T&D HOLDINGS INCORPORATED 364,957 12,057 TAIWAN LIFE INSURANCE COMPANY LIMITED 8,919 29,813 THE TRAVELERS COMPANIES INCORPORATED 1,503,171 300 TOPDANMARK AS+ 40,909 22,768 TORCHMARK CORPORATION<< 970,144 22,368 TOWER GROUP INCORPORATED 536,608 15,737 TRANSATLANTIC HOLDING INCORPORATED 768,910 12,124 UNIPOL SPA 16,095 60,700 UNITEDHEALTH GROUP INCORPORATED 1,699,600 38,161 UNITRIN INCORPORATED 722,388 38,917 W.R. BERKLEY CORPORATION 994,329 25,735 WELLCARE HEALTH PLANS INCORPORATED+ 624,588 24,800 WELLPOINT INCORPORATED+ 1,310,680 1,836 WHITE MOUNTAIN INSURANCE GROUP LIMITED 572,832 94,144 XL CAPITAL LIMITED CLASS A 1,633,398 83,222 YAPI VE KREDI BANKASI AS 175,309 30,905 ZENITH NATIONAL INSURANCE CORPORATION 833,199 12,540 ZURICH FINANCIAL SERVICES AG 275,253 79,112,828 -------------- INSURANCE COMPANIES: 0.05% 20,024 REINSURANCE GROUP OF AMERICA INCORPORATED 862,036 2,204 YAPI KREDI SIGORTA AS 12,268 874,304 -------------- INSURANCE-MULTI LINE: 0.00% 1,751 FONDIARIA SAI SPA 33,637 -------------- INTERNET SOFTWARE: 0.00% 10 ACCESS COMPANY LIMITED+ 26,814 732 FREENET AG 9,801 36,615 -------------- INVESTMENT COMPANIES: 0.00% 260 BB BIOTECH AG 17,433 4,000 LPI CAPITAL BHD 12,949 30,382 -------------- INVESTMENTS & MISCELLANEOUS FINANCIAL SERVICES: 0.02% 104,000 ABOITIZ EQUITY VENTURES INCORPORATED 15,985 48,500 BERJAYA CORPORATION BHD 12,326 2,044 GROUPE BRUXELLES LAMBERT SA 178,953 8,300 INTERACTIVE DATA CORPORATION 192,643 16,498 REINET INVESTMENTS SCA+ 22,437 5,740 TULLETT PREBON PLC 37,649 459,993 -------------- Wells Fargo Advantage Master Portfolios 157 Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - --------------- ------------- -------------- LEATHER & LEATHER PRODUCTS: 0.15% 32,058 BROWN SHOE COMPANY INCORPORATED $ 240,435 78,886 COACH INCORPORATED 2,231,685 39,320 TIMBERLAND COMPANY+<< 509,587 2,981,707 -------------- LEGAL SERVICES: 0.08% 31,557 FTI CONSULTING INCORPORATED+<< 1,373,992 4,405 PRE-PAID LEGAL SERVICES INCORPORATED+<< 201,925 1,575,917 -------------- LOCAL & SUB-TRANSIT & INTERURBAN HIGHWAY PASS TRANSPORTATION: 0.01% 24 AP MOLLER-MAERSK AS 172,880 14,817 MACMAHON HOLDINGS LIMITED 7,326 180,206 -------------- LUMBER & WOOD PRODUCTS, EXCEPT FURNITURE: 0.04% 5,233 BABCOCK INTERNATIONAL GROUP 41,999 162,500 BARITO PACIFIC TBK PT+ 25,149 1,859 CANFOR CORPORATION+ 9,272 88,795 LOUISIANA-PACIFIC CORPORATION 668,626 694 PFLEIDERER AG 6,178 3,776 SINO-FOREST CORPORATION+ 46,909 325 TECNICAS REUNIDAS SA 17,654 149,257 TERRANOVA SA 19,407 504 WEST FRASER TIMBER COMPANY LIMITED 11,740 846,934 -------------- MACHINERY: 0.03% 4,343 CHARTER INTERNATIONAL PLC 43,517 5,000 DAIFUKU COMPANY LIMITED 34,498 7,000 DELONG HOLDINGS LIMITED 4,275 13,821 HUSQVARNA AB B SHARES 98,047 17,000 JAPAN STEEL WORKS 211,198 5,000 OKUMA CORPORATION 25,255 3,400 OSG CORPORATION 35,297 887 RHEINMETALL BERLIN 43,286 3,106 SEVAN MARINE ASA+ 4,165 499,538 -------------- MANUFACTURING (SPECIALIZED): 0.01% 8,268 PV CRYSTALOX SOLAR PLC 10,095 1,457 RICHEMONT SA+ 20,161 1,200 SECO TOOLS 12,980 2,000 SEKISUI JUSHI CORPORATION 17,668 5,744 SINTEX INDUSTRIES LIMITED 28,282 1,300 TORISHIMA PUMP MANUFACTURING COMPANY LIMITED 19,294 514,000 WELLING HOLDING LIMITED+ 18,901 127,381 -------------- MANUFACTURING INDUSTRIES: 0.01% 7,070 MAHINDRA & MAHINDRA LIMITED 125,059 1,000 YOMEISHU SEIZO COMPANY LIMITED 9,618 134,677 -------------- 158 Wells Fargo Advantage Master Portfolios Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - --------------- ------------- -------------- MEASURING, ANALYZING & CONTROLLING INSTRUMENTS: PHOTOGRAPHIC, MEDICAL & OPTICAL GOODS: 2.65% 2,200 A&D COMPANY LIMITED $ 14,162 2,819 AGFA-GEVAERT NV 14,589 10,300 ALFA LAVAL AB 114,887 21,304 ALLERGAN INCORPORATED 1,191,320 1,713 AL TANA AG 31,999 19,430 ARCELORMITTAL 695,540 22,210 BAYER AG 1,363,727 17,194 BECKMAN COULTER INCORPORATED 1,164,378 15,482 BECTON DICKINSON & COMPANY 1,077,857 201 BEKAERT SA 26,726 11,558 BIO-RAD LABORATORIES INCORPORATED+ 996,993 26,000 BIOSENSORS INTERNATIONAL GROUP LIMITED+ 10,646 75,600 BOSTON SCIENTIFIC CORPORATION+ 888,300 34,810 CEPHEID INCORPORATED+<< 417,372 2,641 COCHLEAR LIMITED 125,605 544 COLOPLAST AS CLASS B 42,067 2,909 COMPAGNIE GENERALE DE GEOPHYSIQUE - VERITAS+ 62,347 39,346 COOPER COMPANIES INCORPORATED 1,074,933 2,700 COSEL COMPANY LIMITED 31,918 24,694 CR BARD INCORPORATED 1,989,843 16,797 DANAHER CORPORATION 1,019,746 37,133 DENTSPLY INTERNATIONAL INCORPORATED 1,251,753 220,802 EASTMAN KODAK COMPANY<< 1,174,667 816 ELBIT IMAGING LIMITED 20,808 2,034 ELEKTA AB CLASS B 35,860 25,712 ENERGY CONVERSION DEVICES INCORPORATED+<< 287,717 15,914 ESCO TECHNOLOGIES INCORPORATED+ 589,773 3,600 ESPEC CORPORATION 23,523 5,529 ESSILOR INTERNATIONAL SA CIE GENERALE D'OPTIQUE 298,589 18,251 ESTERLINE TECHNOLOGIES CORPORATION+ 564,321 23,829 FISHER & PAYKEL HEALTHCARE CORPORATION 53,146 37,326 FLIR SYSTEMS INCORPORATED+<< 859,245 29,214 FORMFACTOR INCORPORATED+<< 640,955 29,007 FOSSIL INCORPORATED+<< 736,198 2,067 FRESENIUS AG 116,575 24,400 FUJIFILM HOLDINGS CORPORATION 727,673 17,000 FUJIKURA LIMITED 89,522 500 FUKUDA DENSHI COMPANY LIMITED 14,132 32,000 FURUKAWA ELECTRIC COMPANY LIMITED 141,687 4,444 GETINGE AB 76,164 40,000 GOLDEN MEDITECH COMPANY LIMITED 6,709 15,681 HAEMONETICS CORPORATION+ 825,448 8,918 HALMA PLC 28,542 6,000 HITACHI CABLE LIMITED 20,054 400 HOGY MEDICAL COMPANY LIMITED 22,440 63,709 HOLOGIC INCORPORATED+ 1,048,013 20,300 HOYA CORPORATION 458,141 9,404 INTUITIVE SURGICAL INCORPORATED+<< 2,094,365 22,709 ITRON INCORPORATED+ 1,244,226 24,000 KONICA MINOLTA HOLDINGS INCORPORATED 226,975 4,244 LARGAN PRECISION COMPANY LIMITED 51,576 3,178 LUXOTTICA GROUP SPA 77,088 31,939 MASIMO CORPORATION+ 802,308 77,923 MEDTRONIC INCORPORATED 2,984,451 8,328 METTLER-TOLEDO INTERNATIONAL INCORPORATED+ 727,867 13,620 MILLIPORE CORPORATION+ 902,053 Wells Fargo Advantage Master Portfolios 159 Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - --------------- ------------- -------------- MEASURING, ANALYZING & CONTROLLING INSTRUMENTS: PHOTOGRAPHIC, MEDICAL & OPTICAL GOODS (continued) 6,000 MOCHIDA PHARMACEUTICAL COMPANY LIMITED $ 61,967 37,671 NATIONAL INSTRUMENTS CORPORATION 965,508 1,500 NIHON KOHDEN CORPORATION 24,584 17,000 NIKON CORPORATION 292,499 2,000 NIPRO CORPORATION 42,665 5,932 OLYMPUS CORPORATION ADR 159,571 21,244 ORBOTECH LIMITED+ 195,232 1,832 ORION OYJ 31,123 5,000 OSAKI ELECTRIC COMPANY LIMITED 54,970 69,000 OSIM INTERNATIONAL LIMITED 22,506 800 PARAMOUNT BED COMPANY LIMITED 16,679 3,500 PARIS MIKI INCORPORATED 34,229 5,016 PHARMAXIS LIMITED+ 9,624 1,055 PHONAK HOLDING AG 100,927 27,334 RAYTHEON COMPANY 1,289,618 18,803 RESMED INCORPORATED+<< 863,246 22,805 ROPER INDUSTRIES INCORPORATED 1,080,501 13,000 SHIMADZU CORPORATION 94,304 5,002 SILEX SYSTEMS LIMITED+ 30,228 5,203 SSL INTERNATIONAL PLC 47,264 23,906 ST. JUDE MEDICAL INCORPORATED+ 921,337 33,314 STERIS CORPORATION 966,772 181 STRAUMANN HOLDING AG 41,160 21,108 STRYKER CORPORATION 875,138 35,100 SUMITOMO ELECTRIC INDUSTRIES LIMITED 453,414 3,700 SUZUKEN COMPANY LIMITED 122,074 1,587 SYNTHES INCORPORATED 185,692 12,000 TAISHO PHARMACEUTICAL COMPANY LIMITED 235,615 600 TAMRON COMPANY LIMITED 7,925 201 TECAN GROUP AG 10,820 23,045 TECHNE CORPORATION<< 1,421,185 19,949 TELEDYNE TECHNOLOGIES INCORPORATED+ 673,478 149,908 TERADYNE INCORPORATED+<< 1,236,741 9,100 TERUMO CORPORATION 479,205 2,600 TGS NOPEC GEOPHYSICAL COMPANY ASA+ 32,880 28,600 THERMO FISHER SCIENTIFIC INCORPORATED+ 1,293,006 34,469 THORATEC CORPORATION+<< 904,467 1,815 TITAN INDUSTRIES LIMITED 45,705 1,800 TOA MEDICAL ELECTRONICS COMPANY 81,440 1,400 TOPCON CORPORATION 7,177 30,191 TRIMBLE NAVIGATION LIMITED+ 768,663 5,800 USHIO INCORPORATED 106,900 18,090 VARIAN INCORPORATED+ 926,570 5,391 VESTAS WIND SYSTEMS AS+ 386,774 23,965 WATERS CORPORATION+ 1,204,960 696 WILLIAM DEMANT HOLDING+ 42,628 4,100 YAMATAKE CORPORATION 83,762 14,955 ZIMMER HOLDINGS INCORPORATED+ 708,119 51,218,371 -------------- MEDIA: 0.00% 820 MODERN TIMES GROUP MTG B SHARES 33,406 977 VOCENTO SA 5,460 38,866 -------------- 160 Wells Fargo Advantage Master Portfolios Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - --------------- ------------- -------------- MEDICAL EQUIPMENT & SUPPLIES: 0.08% 331 FIELMANN AG $ 21,358 26,784 INVACARE CORPORATION 580,141 22,381 NUVASIVE INCORPORATED+<< 896,807 1,498,306 -------------- MEDICAL MANAGEMENT SERVICES: 0.05% 281,100 BANGKOK CHAIN HOSPITAL PCL 71,081 40,762 COVENTRY HEALTH CARE INCORPORATED+ 889,834 960,915 -------------- MEDICAL PRODUCTS: 0.19% 42,000 BAXTER INTERNATIONAL INCORPORATED 2,390,640 31,161 ILLUMINA INCORPORATED+<< 1,099,048 5,292 MYRIAD PHARMACEUTICALS INC+ 23,814 1,000 NICOX SA+ 12,989 656 ROCHE HOLDINGS AG - BEARER SHARES 108,229 3,634,720 -------------- METAL FABRICATE, HARDWARE: 0.02% 5,800 SILGAN HOLDINGS INCORPORATED 281,996 -------------- METAL MINING: 1.11% 4,318 ACCOR SA 227,309 5,420 ADITYA BIRLA MINERALS LIMITED+ 4,856 5,936 AFRICAN RAINBOW MINERALS LIMITED 122,848 4,022 AGNICO EAGLE MINES LIMITED 230,684 2,175 ALAMOS GOLD INCORPORATED+ 19,192 1,424 ALEXANDRIA MINERAL OILS COMPANY 12,663 111,612 ALUMINA LIMITED 157,539 8,931 ANDEAN RESOURCES LIMITED+ 16,003 247,674 ANEKA TAMBANG TBK PT 55,899 35,580 ANGLO AMERICAN PLC 1,170,612 4,752 ANGLO PLATINUM LIMITED 421,477 23,956 ANGLOGOLD ASHANTI LIMITED 917,808 5,163 AQUILA RESOURCES LIMITED+ 30,983 10,201 ATLAS IRON LIMITED+ 13,924 2,262 AURIZON MINES LIMITED+ 9,877 6,457 AVOCA RESOURCES LIMITED+ 9,551 5,200 BANPU PCL 61,006 3,268 BANRO CORPORATION+ 6,209 23,200 BARRICK GOLD CORPORATION 800,636 9,025 BHARAT FORGE LIMITED 40,666 7,000 BOLIDEN AB 71,785 9,600 CAMECO CORPORATION 255,445 34,625 CENTAMIN EGYPT LIMITED+ 47,995 156,000 CHINA MINING RESOURCES GROUP LIMITED+ 7,145 13,961 CIA DE MINAS BUENAVENTURA SA 358,417 41,522 CIA MINERA MILPO SA 101,188 91,746 CIA VALE DO RIO DOCE 1,769,008 9,842 COAL OF AFRICA LIMITED+ 15,597 59,557 COEUR D'ALENE MINES CORPORATION+<< 901,693 629 COMPASS RESOURCES NL+(a) 0 1,265 DENISON MINES CORPORATION+ 1,733 Wells Fargo Advantage Master Portfolios 161 Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - --------------- ------------- -------------- METAL MINING (continued) 3,847 DOMINION RESOURCES BLACK WARRIOR $ 13,103 8,467 EASTERN PLATINUM LIMITED+ 3,674 9,764 ELDORADO GOLD CORPORATION+ 100,784 9,374 EQUINOX MINERALS LIMITED+ 23,376 191 ERAMET 61,555 5,033 EURASIAN NATURAL RESOURCES CORPORATION 70,873 2,612 EUROPEAN GOLDFIELDS LIMITED+ 8,160 2,028 FIRST QUANTUM MINERALS LIMITED 120,096 842 FNX MINING COMPANY INCORPORATED+ 7,076 75,806 FORTESCUE METALS GROUP LIMITED+ 282,554 2,288 FRANCO-NEVADA CORPORATION 58,875 6,162 GABRIEL RESOURCES LIMITED+ 9,006 1,892 GAMMON LAKE RESOURCES INCORPORATED+ 12,703 14,745 GINDALBIE METALS LIMITED+ 10,406 53,251 GOLD FIELDS LIMITED 648,434 19,136 GOLDCORP INCORPORATED 697,269 5,832 GOLDEN STAR RESOURCES LIMITED+ 15,449 356,987 GRUPO MEXICO SAB DE CV 513,256 1,859 GUYANA GOLDFIELDS INCORPORATED+ 7,641 27,531 HARMONY GOLD MINING COMPANY LIMITED 258,306 200,817 HECLA MINING COMPANY+<< 598,435 52,103 HINDALCO INDUSTRIES LIMITED 113,117 11,145 HINDUSTAN ZINC LIMITED 168,664 4,600 HUDBAY MINERALS INCORPORATED+ 35,464 9,225 IAMGOLD CORPORATION 107,186 46,849 IMPALA PLATINUM HOLDINGS LIMITED 1,094,819 4,101 INDEPENDENCE GROUP NL 15,147 13,243 INDOPHIL RESOURCES NL+ 7,723 1,106 INMET MINING CORPORATION 47,948 155,928 INTERNATIONAL NICKEL INDONESIA TBK 65,357 58,088 ISPAT INDUSTRIES LIMITED 27,958 6,719 IVANHOE MINES LIMITED+ 74,386 12,681 KAGARA ZINC LIMITED 9,914 3,557 KATANGA MINING LIMITED+ 1,787 4,511 KAZAKHMYS PLC 72,592 8,537 KGHM POLSKA MIEDZ SA 255,678 3,013 KINGSGATE CONSOLIDATED LIMITED 19,481 18,269 KINROSS GOLD CORPORATION 346,773 947 KOREA ZINC COMPANY LIMITED 103,503 260 LABRADOR IRON ORE ROYALTY INCOME FUND 8,652 3,740 LONMIN PLC 88,953 4,655 LUNDIN MINING CORPORATION+ 15,818 2,676 MEDINET NASR HOUSING 16,665 6,401 MINARA RESOURCES LIMITED 5,140 5,400 MINCOR RESOURCES NL 10,726 4,880 MINEFINDERS CORPORATION+ 43,729 3,262 MIRABELA NICKEL LIMITED+ 7,665 22,000 MITSUI MINING & SMELTING COMPANY LIMITED 62,891 12,447 MURCHISON METALS LIMITED+ 19,094 22,522 NEWCREST MINING LIMITED 571,259 32,564 NEWMONT MINING CORPORATION 1,308,747 1,260 NEWMONT MINING CORPORATION OF CANADA LIMITED 50,573 3,000 NIPPON DENKO COMPANY LIMITED 23,020 19,000 NIPPON LIGHT METAL COMPANY LIMITED 21,848 3,000 NITTETSU MINING COMPANY LIMITED 14,702 16,768 NORTHAM PLATINUM LIMITED 86,346 162 Wells Fargo Advantage Master Portfolios Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - --------------- ------------- -------------- METAL MINING (continued) 2,200 NORTHERN DYNASTY MINERALS+ $ 14,208 306,000 OCEAN GRAND HOLDINGS LIMITED+ 39,876 28,126 OM HOLDINGS LIMITED 39,343 700 ONOKEN COMPANY LIMITED 7,177 5,113 OSISKO MINING CORPORATION+ 33,441 2,418 OUTOKUMPU OYJ 51,096 7,000 PACIFIC METALS COMPANY LIMITED 58,753 1,843 PAN AMERICAN SILVER CORPORATION+ 36,060 46,179 PAN AUSTRALIAN RESOURCES LIMITED+ 15,807 11,002 PIONEERS HOLDING+ 12,979 13,700 PUNCAK NIAGA HOLDING BHD 12,838 12,593 QUEST CAPITAL CORPORATION 11,848 3,803 RED BACK MINING INCORPORATED+ 39,498 9,634 RESOLUTE MINING LIMITED+(a) 5,048 20,697 RIO TINTO LIMITED 981,553 40,018 RIO TINTO PLC 1,572,311 6,431 RIVERSDALE MINING LIMITED+ 33,591 10,042 ROYAL GOLD INCORPORATED<< 398,467 5,152 SALLY MALAY MINING LIMITED 10,886 25,987 SESA GOA LIMITED 112,996 6,740 SHERRITT INTERNATIONAL CORPORATION 41,496 1,423 SILVER STANDARD RESOURCES INCORPORATED+ 25,997 6,370 SILVER WHEATON CORPORATION+ 66,217 1,891 SILVERCORP METALS INCORPORATED 6,961 944 SOCIEDAD MINERA CERRO VERDE SA 22,137 3,920 SOCIEDAD MINERA EL BROCAL SA 61,032 37,740 STILLWATER MINING COMPANY+<< 241,913 11,000 SUMITOMO LIGHT METAL INDUSTRIES LIMITED 11,703 42,782 SUNDANCE RESOURCES LIMITED AUSTRALIA+ 6,689 12,132 SXR URANIUM ONE INCORPORATED+ 27,151 6,222 SYLVANIA RESOURCES LIMITED+ 6,100 12,208 TECK COMINCO INCORPORATED LIMITED 294,622 1,878 THOMPSON CREEK METALS COMPANY INCORPORATED+ 21,598 80,000 TIMAH TBK PT 16,468 1,200 TOHO TITANIUM COMPANY LIMITED 19,473 47,000 TON YI INDUSTRIAL CORPORATION 16,278 54,500 TYCOONS WORLDWIDE GROUPS THAILAND PCL 7,980 22,182 UNITED PHOSPHORUS LIMITED 76,825 2,735 VEDANTA RESOURCES PLC 79,788 62,810 VOLCAN CIA MINERA SAA+ 59,100 4,171 WESTERN AREAS NL+ 17,979 19,185 YAMANA GOLD INCORPORATED 176,476 316,000 ZIJIN MINING GROUP COMPANY LIMITED CLASS H 264,201 21,360,064 --------------- MINING: 0.01% 1,583 ASSORE LIMITED 118,834 4,434 FRESNILLO PLC 45,006 6,206 MMX MINERACAO E METALICOS SA+ 27,462 191,302 --------------- MINING & QUARRYING OF NONMETALLIC MINERALS, EXCEPT FUELS: 0.50% 588 ABER DIAMOND CORPORATION 3,448 9,558 ANTOFAGASTA PLC 119,267 161,062 BHP BILLITON LIMITED 5,009,575 106,046 BOART LONGYEAR GROUP 26,889 Wells Fargo Advantage Master Portfolios 163 Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - --------------- ------------- -------------- MINING & QUARRYING OF NONMETALLIC MINERALS, EXCEPT FUELS (continued) 6,337 BRADKEN LIMITED $ 33,689 43,000 CHINA MOLYBDENUM COMPANY LIMITED 32,123 68,000 CHINA SHANSHUI CEMENT GROUP LIMITED 39,482 14,000 DOWA MINING COMPANY LIMITED 78,990 22,086 ILUKA RESOURCES LIMITED 73,735 103,000 JIANGXI COPPER COMPANY LIMITED 215,025 110,078 LIHIR GOLD LIMITED+ 257,716 17,759 LYNAS CORPORATION LIMITED+ 9,681 25,733 MINSUR SA 60,968 59,000 MITSUBISHI MATERIALS CORPORATION 180,075 111,000 MONGOLIA ENERGY COMPANY LIMITED+ 39,385 18,676 MOUNT GIBSON IRON LIMITED+ 15,943 140,521 OZ MINERALS LIMITED 125,895 20,885 PALADIN ENERGY LIMITED+ 81,199 7,900 POTASH CORPORATION OF SASKATCHEWAN 700,338 813 QUADRA MINING LIMITED+ 8,347 1,959 RANDGOLD RESOURCES LIMITED 115,511 22,281 ST BARBARA LIMITED+ 4,426 3,800 STRAITS RESOURCES LIMITED 6,713 27,000 SUMITOMO METAL MINING COMPANY LIMITED 416,389 2,969 UMICORE 80,403 25,045 VULCAN MATERIALS COMPANY<< 1,253,256 50,331 XSTRATA PLC 677,204 9,665,672 --------------- MISCELLANEOUS MANUFACTURING INDUSTRIES: 1.15% 1,901 AALBERTS INDUSTRIES NV 23,328 307 ADVANCED METALLURGICAL GROUP NV+ 4,826 6,434 AFRICAN OXYGEN LIMITED 16,665 180,000 ALLIANCE GLOBAL GROUP INCORPORATED+ 18,813 2,800 AMANO CORPORATION 25,277 21,000 ANTA SPORTS PRODUCTS LIMITED 25,930 5,981 AREVA T&D INDIA LIMITED 36,247 1,485 BHARAT ELECTRONICS LIMITED 43,358 86,078 BLUESCOPE STEEL LIMITED 208,074 8,874 BUNZL PLC 84,873 55,051 CALLAWAY GOLF COMPANY 389,211 1,964 CAMPBELL BROTHERS LIMITED 40,072 3,703 CHEIL INDUSTRIES INCORPORATED 151,808 25,200 CHINA AEROSPACE INTERNATIONAL HOLDINGS LIMITED+ 2,341 42,169 CIPLA LIMITED INDIA 233,927 4,064 COLGATE PALMOLIVE INDIA LIMITED 50,512 7,525 COOKSON GROUP PLC 48,328 4,431 CUMMINS INDIA LIMITED 30,761 18,743 DABUR INDIA LIMITED 47,928 1,934 DOOSAN CORPORATION 128,995 2,842 ELSWEDY CABLES HOLDING COMPANY 42,781 64,000 FIRST PACIFIC COMPANY LIMITED 40,875 32,000 FOSUN INTERNATIONAL 24,608 88,000 FOXCONN INTERNATIONAL HOLDINGS LIMITED+ 54,046 264 FUCHS PETROLUB AG 18,348 28,300 FUTURIS CORPORATION LIMITED(a) 9,568 47,000 GALAXY ENTERTAINMENT GROUP LIMITED+ 13,887 10,920 GINTECH ENERGY CORPORATION+ 13,634 4,300 GLORY LIMITED 96,120 3,402 GRASIM INDUSTRIES LIMITED 186,903 164 Wells Fargo Advantage Master Portfolios Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - --------------- ------------- -------------- MISCELLANEOUS MANUFACTURING INDUSTRIES (continued) 12,419 GWA INTERNATIONAL LIMITED $ 27,396 34,686 HASBRO INCORPORATED 984,736 42,000 HENGAN INTERNATIONAL GROUP COMPANY LIMITED 232,477 53,699 HILLENBRAND INCORPORATED 1,075,054 4,588 HILLS INDUSTRIES LIMITED 6,864 47,917 HINDALCO INDUSTRIES LIMITED++ 104,028 2,100 HITACHI MAXELL LIMITED 39,111 237,835 IDT INTERNATIONAL LIMITED+ 5,769 7,381 IMI PLC 53,879 7,023 INDUSTRIAS PENOLES SA DE CV 109,498 17,827 INVENSYS PLC 79,519 66,000 ISHIKAWAJIMA-HARIMA HEAVY INDUSTRIES COMPANY LIMITED 134,766 261 ITALMOBILIARE SPA 7,850 20,780 JAKKS PACIFIC INCORPORATED+ 278,452 2,900 JAPAN CASH MACHINE COMPANY LIMITED 27,956 143,104 JOHNSON & JOHNSON 8,649,206 13,200 JS GROUP CORPORATION 233,784 28,000 JU TENG INTERNATIONAL HOLDINGS LIMITED 20,773 76,000 KAWASAKI HEAVY INDUSTRIES LIMITED 201,741 1,354 KOOR INDUSTRIES LIMITED 37,117 2,100 KOSE CORPORATION 50,666 626 KRONES AG 29,526 469 LEONI AG 9,938 21,211 LITE-ON IT CORPORATION 16,206 3,131 LUPIN LIMITED 65,099 99,095 MATTEL INCORPORATED 1,782,719 2,109 MELROSE PLC 5,528 157,000 MITSUBISHI HEAVY INDUSTRIES LIMITED 649,597 1,200 MITSUBISHI PENCIL COMPANY LIMITED 13,567 5,500 MITSUI MINING COMPANY LIMITED 7,211 11,505 MORGAN CRUCIBLE COMPANY 29,162 7,106 MOSER BAER INDIA LIMITED 13,200 200 NAKANISHI INCORPORATED 17,367 19,677 NATIONAL ALUMINIUM COMPANY LIMITED 139,180 5,937 NEW HOPE CORPORATION LIMITED 26,645 2,000 NIKKISO COMPANY LIMITED 15,776 2,000 NIPPON DENSETSU KOGYO COMPANY LIMITED 19,796 17,000 NIPPON ELECTRIC GLASS COMPANY LIMITED 176,486 431 NKT HOLDING AS 22,455 63,600 NOBLE GROUP LIMITED 93,572 16,433 ORICA LIMITED 313,618 23,301 RELIANCE INDUSTRIES LIMITED<<++ 1,913,809 386 RHI AG+ 10,237 100 ROCKWOOL INTERNATIONAL AS 9,515 2,100 SANRIO COMPANY LIMITED 18,551 3,781 SHREE PRECOATED SHARES+(a) 5,613 1,621 SHREE PRECOATED STEELS LIMITED 5,925 180,000 SINGAMAS CONTAINER HOLDING 32,746 89,769 SUZLON ENERGY LIMITED 172,276 1,000 TOKYO ENERGY & SYSTEMS INCORPORATED 8,393 2,700 TOMY COMPANY LIMITED 22,952 2,469 TRELLEBORG AB CLASS B 13,284 24,217 TYCO INTERNATIONAL LIMITED<< 767,437 40,824 UNIMICRON TECHNOLOGY CORPORATION 42,974 4,443 UNITED SPIRITS LIMITED 87,108 16,162 VIDEOCON INDUSTRIES LIMITED 82,010 Wells Fargo Advantage Master Portfolios 165 Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - --------------- ------------- -------------- MISCELLANEOUS MANUFACTURING INDUSTRIES (continued) 2,039 WARTSILA OYJ CLASS B $ 77,083 46,893 WESFARMERS LIMITED 996,013 55,000 YANGZIJIANG SHIPBUILDING HOLDINGS LIMITED 37,597 351 ZAKLADY AZOTOWE PULAWY SA+ 10,795 22,233,652 --------------- MISCELLANEOUS RETAIL: 1.00% 36,100 AEON COMPANY LIMITED 382,920 309 AKER ASA CLASS A 7,292 57,766 ALIBABA.COM LIMITED+ 143,400 3,800 ARCS COMPANY LIMITED 57,949 33,864 BARNES & NOBLE INCORPORATED 700,646 48,000 CHINA RESOURCES ENTERPRISE LIMITED 112,592 59,000 CITIC PACIFIC LIMITED 157,578 9,434 COMERCIAL SIGLO XXL SA 39,610 29,427 COSTCO WHOLESALE CORPORATION 1,500,188 7,526 CREDIT SAISON COMPANY LIMITED 100,940 4,800 CULTURE CONVENIENCE CLUB COMPANY LIMITED 35,491 99,276 CVS CORPORATION 3,724,836 53,555 DICK'S SPORTING GOODS INCORPORATED+<< 1,200,168 36,000 DICKSON CONCEPTS INTERNATIONAL LIMITED 17,651 45,569 DILLARD'S INCORPORATED<< 519,942 22,610 DOLLAR TREE INCORPORATED+ 1,129,143 15,910 EXPRESS SCRIPTS INCORPORATED+ 1,149,020 3,062 FAES FARMA SA 17,034 8,378 FOSCHINI LIMITED 65,682 1,100 FUJI COMPANY LIMITED 21,527 22 GEO COMPANY LIMITED 22,697 4,400 HEIWADO COMPANY LIMITED 64,546 900 HIKARI TSUSHIN INCORPORATED 19,441 13,313 INDIABULLS FINANCIAL SERVICES LIMITED 57,015 4,706 INMOBILIARIA COLONIAL SA 1,214 17,600 ISETAN MITSUKOSHI HOLDINGS LIMITED 194,253 4,200 IZUMI COMPANY LIMITED 61,251 2,679 JEAN COUTU GROUP INCORPORATED CLASS A 23,786 10,000 KASUMI COMPANY LIMITED 48,039 4,000 LIFE CORPORATION 67,362 12,892 MARVEL ENTERTAINMENT INCORPORATED+ 623,586 13,562 MASSMART HOLDINGS LIMITED 135,106 136,000 METRO HOLDINGS LIMITED 63,708 27,062 MSC INDUSTRIAL DIRECT COMPANY 1,069,220 5,988 NATURA COSMETICOS SA 96,268 15,408 NUTRI SYSTEM INCORPORATED<< 219,256 236,700 OFFICE DEPOT INCORPORATED+ 1,235,574 4,840 ORIX CORPORATION 371,908 21,551 ORKLA ASA 172,620 31,989 PETSMART INCORPORATED 668,890 700 PIGEON CORPORATION 28,963 10,344 PRICELINE.COM INCORPORATED+<< 1,592,769 502,102 RITE AID CORPORATION+<< 773,237 1,300 RYOHIN KEIKAKU COMPANY LIMITED 59,377 14,000 SA SA INTERNATIONAL HOLDINGS LIMITED 5,907 940 SHANDA INTERACTIVE ENTERTAINMENT LIMITED+ 44,969 2,200 SHIMACHU COMPANY LIMITED 51,897 5,600 SHOPPERS DRUG MART CORPORATION 219,959 5,870 SK NETWORKS COMPANY LIMITED+ 57,812 166 Wells Fargo Advantage Master Portfolios Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - --------------- ------------- -------------- MISCELLANEOUS RETAIL (continued) 450 STOCKMANN OYJ ABP $ 11,683 2,400 THE DAIEI INCORPORATED+ 10,652 2,000 THE MARUETSU INCORPORATED 10,188 8,000 UNY COMPANY LIMITED 67,749 49,967 WOOLWORTHS HOLDINGS LIMITED 101,161 19,335,672 --------------- MISCELLANEOUS SERVICES: 0.06% 13,560 DUN & BRADSTREET CORPORATION 990,422 48,000 GLOBAL BIO-CHEM TECHNOLOGY 11,643 47,471 INVERSIONES AGUAS METROPOLITANAS SA 52,465 1,054,530 --------------- MOTION PICTURES: 0.40% 1,249 ASTRAL MEDIA INCORPORATED 36,109 33,289 DISCOVERY COMMUNICATIONS INCORPORATED+ 862,851 43,118 DREAMWORKS ANIMATION SKG INCORPORATED CLASS A+ 1,455,664 3,000 ESUN HOLDINGS LIMITED+ 426 484,500 GLOBAL MEDIACOM TBK PT 15,862 93,654 NEWS CORPORATION CLASS A 1,003,971 13,000 TELEVISION BROADCASTS LIMITED 55,435 60,676 TIME WARNER INCORPORATED 1,693,469 6,100 TOHO COMPANY LIMITED TOKYO 102,202 9,561 TVN SA PLN 47,769 88,433 WALT DISNEY COMPANY 2,302,795 22,838 ZEE ENTERTAINMENT ENTERPRISES LIMITED 98,509 7,675,062 --------------- MOTOR FREIGHT TRANSPORTATION & WAREHOUSING: 0.39% 20,934 ARKANSAS BEST CORPORATION 667,795 46,194 CHINA MERCHANTS HOLDINGS INTERNATIONAL COMPANY LIMITED 149,898 40,029 CON-WAY INCORPORATED 1,671,611 3,232 CONTAINER CORPORATION OF INDIA 78,452 42,518 COSCO PACIFIC LIMITED 63,965 3,880 DSV A/S 59,971 28,000 EVERGREEN INTERNATIONAL STORAGE & TRANSPORT CORPORATION 20,330 2,389 FORD OTOMOTIV SANAYI AS 14,174 17,965 FORWARD AIR CORPORATION 414,632 9,000 FUKUYAMA TRANSPORTING COMPANY LIMITED 48,941 1,400 HITACHI TRANSPORT SYSTEM LIMITED 18,943 25,600 J.B. HUNT TRANSPORT SERVICES INCORPORATED 717,568 31,775 LANDSTAR SYSTEM INCORPORATED 1,107,994 3,167 MAINFREIGHT LIMITED 11,084 8,000 MITSUBISHI LOGISTICS CORPORATION 105,234 29,280 MUNDRA PORT & SPECIAL ECONOMIC ZONE LIMITED 334,329 44,000 NIPPON EXPRESS COMPANY LIMITED 196,711 3,000 NIPPON KONPO UNYU SOKO COMPANY LIMITED 36,787 19,475 OLD DOMINION FREIGHT LINE+ 696,816 16,000 SANKYU INCORPORATED 72,047 6,000 SEINO HOLDINGS COMPANY LIMITED 53,455 2,000 SHIBUSAWA WAREHOUSE COMPANY LIMITED THE 7,652 80,630 SYNNEX TECHNOLOGY INTERNATIONAL CORPORATION 140,848 44,367 WERNER ENTERPRISES INCORPORATED 775,535 7,464,772 --------------- Wells Fargo Advantage Master Portfolios 167 Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - --------------- ------------- -------------- MULTI MEDIA: 0.00% 2,510 SANOMAWSOY OYJ $ 49,657 --------------- MULTI-INDUSTRY COMPANIES: 0.01% 49,000 FRASER & NEAVE LIMITED 130,921 --------------- NEWSPAPERS: 0.00% 105 AXEL SPRINGER AG 9,212 --------------- NON-DEPOSITORY CREDIT INSTITUTIONS: 0.69% 3,830 ACOM COMPANY LIMITED 78,740 3,000 AEON CREDIT SERVICE COMPANY LIMITED 33,917 2,600 AIFUL CORPORATION 7,768 53,980 AMERICAN EXPRESS COMPANY 1,825,604 51,851 AMERICREDIT CORPORATION+<< 894,948 1,252 BANCA POPOLARE DELL'ETRURIA E DEL LAZIO 8,779 7,122 BRADFORD & BINGLEY PLC(a) 2,319 22,934 CAPITAL ONE FINANCIAL CORPORATION 855,209 212,962 CAPITAL SOURCE INCORPORATED 881,663 9,852 CATTLES PLC+(a) 1,123 4,200 CEDYNA FINANCIAL CORPORATION+ 7,854 3,800 CENTURY LEASING SYSTEM INCORPORATED 43,779 310,579 CIT GROUP INCORPORATED<< 540,407 28,594 CREDIT SUISSE GROUP 1,456,839 146,943 DISCOVER FINANCIAL SERVICES 2,020,466 18,712 FINANSBANK AS TURKEY 84,820 343,064 FIRST FINANCIAL HOLDING COMPANY LIMITED 186,037 172,700 FOMENTO ECONOMICO MEXICANO SAB DE CV 627,212 700 FUYO GENERAL LEASE COMPANY LIMITED 15,648 4,600 HITACHI CAPITAL CORPORATION 66,145 4,265 HOLDING DI PARTECIPAZIONI INDUSTRIALI SPA 6,438 2,700 IBJ LEASING COMPANY LIMITED 38,795 53,370 IFCI LIMITED 61,650 71,896 INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED 197,097 4,261 INTERNATIONAL PERSONAL FINANCE PLC 10,526 6,011 IRISH LIFE & PERMANENT PLC 40,933 3,340 MITSUBISHI UFJ SECURITIES COMPANY LIMITED 106,069 263 ORIX CORPORATION ADR 10,028 47,139 PEOPLE'S UNITED FINANCIAL INCORPORATED 757,052 9,017 POWER FINANCE CORPORATION LIMITED 44,545 3,750 PROMISE COMPANY LIMITED 36,754 2,677 PROVIDENT FINANCIAL PLC 38,568 24,846 REDECARD SA 338,408 600 RICOH LEASING COMPANY LIMITED 13,025 12,802 SAMPO OYJ 306,496 3,677 SAMSUNG CARD COMPANY LIMITED 150,154 30 SHINKIN CENTRAL BANK 48,039 7,572 SHRIRAM TRANSPORT FINANCE COMPANY LIMITED 56,373 128,500 SLM CORPORATION+<< 1,143,650 8,000 TOKAI TOKYO SECURITIES COMPANY LIMITED 28,888 263,069 TRANSCEND INFORMATION INCORPORATED 145,055 20,453 TURKIYE HALK BANKASI AS 110,439 13,328,259 --------------- NON-FERROUS METALS: 0.00% 1,200 SUMITOMO TITANIUM CORPORATION 40,623 --------------- 168 Wells Fargo Advantage Master Portfolios Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - --------------- ------------- -------------- OFFICE EQUIPMENT: 0.02% 45,000 XEROX CORPORATION $ 389,250 --------------- OIL & GAS EXPLORATION: 0.02% 4,802 GRAN TIERRA ENERGY INCORPORATED+ 19,169 4,855 KAROON GAS AUSTRALIA LIMITED+ 43,907 16,285 NEW ZEALAND OIL & GAS LIMITED 17,993 29,462 W&T OFFSHORE INCORPORATED<< 291,085 372,154 --------------- OIL & GAS EXTRACTION: 4.40% 845 ABAN OFFSHORE LIMITED 28,249 1,122 ADVANTAGE OIL & GAS LIMITED 6,354 520 ALTAGAS INCORPORATEDOME TRUST 8,118 2,300 AOC HOLDINGS INCORPORATED 17,797 16,993 APACHE CORPORATION 1,443,555 22,610 ARENA RESOURCES INCORPORATED+ 691,414 1,441 ARKEMA 46,998 26,503 ARROW ENERGY NL+ 102,818 21,941 ATLAS AMERICA INCORPORATED<< 486,651 33,925 ATWOOD OCEANICS INCORPORATED+ 966,184 19,186 AUSTRALIAN WORLDWIDE EXPLORATION LIMITED+ 41,838 2,755 BANKERS PETROLEUM LIMITED+ 9,942 44,366 BEACH PETROLEUM LIMITED 29,624 32,849 BERRY PETROLEUM COMPANY CLASS A<< 741,402 89,378 BG GROUP PLC 1,479,764 7,899 BHARAT PETROLEUM CORPORATION LIMITED 82,137 1,758 BIRCHCLIFF ENERGY LIMITED+ 10,759 80,700 BJ SERVICES COMPANY<< 1,296,042 617 BONAVISTA ENERGY TRUST 10,624 747 BOURBON SA 33,060 506,555 BP PLC 4,387,115 4,750 BURU ENERGY LIMITED+ 803 3,651 CAIRN ENERGY PLC+ 149,007 107,668 CAIRN INDIA LIMITED+ 584,153 425 CALFRAC WELL SERVICES LIMITED 4,814 14,127 CANADIAN NATURAL RESOURCES LIMITED 809,230 6,188 CANADIAN OIL SANDS TRUST 155,442 15,400 CARRIZO OIL & GAS INCORPORATED+<< 297,682 2,189 CASTROL INDIA LIMITED 21,962 33,541 CHESAPEAKE ENERGY CORPORATION 766,076 1,332,000 CHINA PETROLEUM & CHEMICAL CORPORATION 1,111,941 364 CIA ESPANOLA DE PETROLEOS SA 15,305 22,745 CIMAREX ENERGY COMPANY 887,965 80,000 CNPC (HONG KONG) LIMITED 66,783 50,387 COMPLETE PRODUCTION SERVICES INCORPORATED+ 453,483 1,801 COMPTON PETROLEUM CORPORATION+ 1,892 11,484 COMSTOCK RESOURCES INCORPORATED+ 405,730 3,414 CONNACHER OIL & GAS LIMITED+ 3,119 7,100 CONTINENTAL RESOURCES INCORPORATED+<< 250,630 1,363 CORRIDOR RESOURCES INCORPORATED+ 3,200 30,000 COSMO OIL COMPANY LIMITED 92,208 4,041 CRESCENT POINT ENERGY CORPORATION 135,432 839 CREW ENERGY INCORPORATED+ 4,721 1,982 DANA PETROLEUM PLC+ 45,430 61,809 DENBURY RESOURCES INCORPORATED+<< 940,733 21,405 DEVON ENERGY CORPORATION 1,313,839 Wells Fargo Advantage Master Portfolios 169 Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - --------------- ------------- -------------- OIL & GAS EXTRACTION (continued) 4,386 DIAMOND OFFSHORE DRILLING INCORPORATED<< $ 392,196 11,000 DNO ASA+ 11,534 3,983 DRAGON OIL PLC+ 24,725 19,971 ENCANA CORPORATION 1,040,918 671,000 ENERGI MEGA PERSADA 25,628 2,124 ENERGY RESOURCES OF AUSTRALIA LIMITED 46,675 25,459 ENERGY WORLD CORPORATION LIMITED+ 10,867 1,978 ENERPLUS RESOURCES 41,412 9,439 ENI SPA<< 447,881 35,442 ENSCO INTERNATIONAL INCORPORATED 1,307,810 2,878 ENSIGN ENERGY SERVICES INCORPORATED 42,220 16,848 EOG RESOURCES INCORPORATED 1,213,056 30,758 EQT CORPORATION 1,220,170 79,098 ESSAR OIL LIMITED 235,066 26,300 ESSO THAILAND PCL 5,452 1,838 ESTABLISSEMENTS MAUREL ET PROM 34,176 1,661 FAIRBORNE ENERGY LIMITED+ 5,401 26,061 FOREST OIL CORPORATION+ 409,679 700 FRED OLSEN ENERGY ASA 23,707 1,079 GALLEON ENERGY INCORPORATED A+ 5,125 5,401 GALP ENERGIA SGPS SA 78,204 233,786 GAZPROM ADR<< 4,736,504 62,217 GLOBAL INDUSTRIES LIMITED+<< 591,062 16,529 GOODRICH PETROLEUM CORPORATION+<< 395,704 5,054 GRUPA LOTOS SA+ 45,958 1 HALLIBURTON COMPANY 21 932 HARVEST ENERGY TRUST 5,253 78,012 HELIX ENERGY SOLUTIONS GROUP INCORPORATED+ 912,740 2,590 HELLENIC PETROLEUM SA 26,882 24,651 HELMERICH & PAYNE INCORPORATED<< 824,822 76,631 HERCULES OFFSHORE INCORPORATED+<< 352,503 983 HIGHPINE OIL & GAS LIMITED+ 6,034 198,188 HONG KONG & CHINA GAS COMPANY LIMITED 429,084 61,794 HORIZON OIL LIMITED+ 10,446 6,600 HUSKY ENERGY INCORPORATED 177,728 1,100 IDEMITSU KOSAN COMPANY LIMITED 90,908 8,612 INDIAN OIL CORPORATION LIMITED 101,951 1,600 JAPAN PETROLEUM EXPLORATION COMPANY 83,568 8,325 JOHN WOOD GROUP PLC 40,468 73,572 KEY ENERGY SERVICES INCORPORATED+ 526,040 40,278 LUKOIL ADR<< 1,983,692 5,408 LUNDIN PETROLEUM AB+ 49,458 303 MAJOR DRILLING GROUP INTERNATIONAL 6,310 9,088 MANGALORE REFINERY & PETROCHEMICALS LIMITED 15,961 85,783 MARINER ENERGY INCORPORATED+ 1,040,548 174,000 MEDCO ENERGI INTERNASIONAL TBK PT 50,491 4,027 MOL HUNGARIAN OIL & GAS PLC 315,899 2,609 NESTE OIL OYJ LIMITED 43,313 36,239 NEWFIELD EXPLORATION COMPANY+ 1,402,087 13,900 NEXEN INCORPORATED 272,985 14,594 NEXUS ENERGY LIMITED+ 4,872 1,092 NIKO RESOURCES LIMITED 70,822 42,500 NIPPON MINING HOLDINGS INCORPORATED 211,929 72,000 NIPPON OIL CORPORATION 411,650 11,632 NOBLE ENERGY INCORPORATED 703,271 18,267 NORSK HYDRO ASA 109,281 170 Wells Fargo Advantage Master Portfolios Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - --------------- ------------- -------------- OIL & GAS EXTRACTION (continued) 1,005 NUVISTA ENERGY LIMITED+ $ 9,061 41,262 OCCIDENTAL PETROLEUM CORPORATION 3,016,252 13,693 OCEANEERING INTERNATIONAL INCORPORATED+ 714,364 2,300 OGX PETROLEO E GAS PARTICIPACOES SA 1,267,947 30,106 OIL & NATURAL GAS CORPORATION LIMITED 730,992 37,539 OIL REFINERIES LIMITED+ 15,777 42,494 OIL SEARCH LIMITED 225,193 3,636 OILEXCO INCORPORATED+ 50 3,853 OMV AG 151,791 2,891 OPTI CANADA INCORPORATED+ 4,463 41,384 ORIGIN ENERGY LIMITED 535,510 3,013 PACIFIC RUBIALES ENERGY CORPORATION+ 34,238 42,702 PATTERSON-UTI ENERGY INCORPORATED 567,510 2,004 PENGROWTH ENERGY TRUST 17,207 4,255 PENN WEST ENERGY TRUST 54,842 1,832 PETROBANK ENERGY & RESOURCES LIMITED+ 67,975 1,484,000 PETROCHINA COMPANY LIMITED 1,639,007 6,542 PETROFAC LIMITED 93,561 158,162 PETROLEO BRASILEIRO SA 3,130,176 2,756 PETROLEUM GEO-SERVICES ASA+ 21,846 823 PEYTO ENERGY TRUST 7,435 1,040 PRECISION DRILLING TRUST 5,937 3,164 PREMIER OIL PLC+ 66,446 37,814 PRIDE INTERNATIONAL INCORPORATED+ 974,845 4,172 PROEX ENERGY LIMITED 39,522 4,700 PROSAFE ASA 22,838 4,255 PROVIDENT ENERGY TRUST 22,232 102,181 PTT AROMATICS & REFINING PCL 65,196 91 PTT AROMATICS & REFINING PCL (FOREIGN) 59 79,200 PTT EXPLORATION & PRODUCTION PCL 322,529 33,200 PTT PCL 238,189 31,800 PTT PCL (FOREIGN) 226,275 74,647 QUICKSILVER RESOURCES INCORPORATED+<< 807,681 38,891 RANGE RESOURCES CORPORATION 1,881,158 2,557 REAL RESOURCES INCORPORATED+ 34,335 20,752 REPSOL YPF SA 514,680 8,115 ROC OIL COMPANY LIMITED+ 4,595 74,099 ROYAL DUTCH SHELL PLC CLASS B 2,019,333 6,205 SAIPEM SPA 166,080 89,654 SANDRIDGE ENERGY INCORPORATED+<< 1,093,779 37,610 SANTOS LIMITED 502,251 44,700 SAPURACREST PETROLEUM BHD 21,325 6,286 SARAS SPA 21,741 839 SAVANNA ENERGY SERVICES CORPORATION 4,522 82,900 SCHLUMBERGER LIMITED 4,658,980 11,658 SEACOR HOLDINGS INCORPORATED+ 887,524 6,523 SEAHAWK DRILLING INCORPORATED+<< 145,396 9,200 SHOWA SHELL SEKIYU KK 96,004 37,431 SNAM RETE GAS SPA 173,863 834 SOCO INTERNATIONAL+ 17,827 23,718 SOUTHWESTERN ENERGY COMPANY+ 874,245 846 STORM EXPLORATION INCORPORATED+ 9,389 17,787 SUPERIOR ENERGY SERVICES INCORPORATED+ 324,257 2,052 SUPERIOR PLUS CORPORATION 22,305 67,936 SURGUTNEFTEGAZ 230,982 196,222 SURGUTNEFTEGAZ ADR<< 1,605,096 Wells Fargo Advantage Master Portfolios 171 Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - --------------- ------------- -------------- OIL & GAS EXTRACTION (continued) 30,112 SWIFT ENERGY COMPANY+ $ 613,381 26,300 TALISMAN ENERGY INCORPORATED 422,818 2,879 TECHNIP SA 178,034 501 TESCO CORPORATION+(a) 3,859 13,932 TIDEWATER INCORPORATED 601,444 13,000 TONENGENERAL SEKIYU KK 124,342 56,085 TOTAL SA 3,213,748 21,754 TRANSOCEAN LIMITED+ 1,649,823 1,946 TRICAN WELL SERVICE LIMITED 18,025 2,600 TRINIDAD DRILLING LIMITED 13,656 20,939 TULLOW OIL PLC 367,124 37,749 ULTRA PETROLEUM CORPORATION+<< 1,752,686 7,531 UTS ENERGY CORPORATION+ 12,314 3,585 VENTURE PRODUCTION PLC 49,287 485 VERMILION ENERGY TRUST 12,910 47,560 WEATHERFORD INTERNATIONAL LIMITED+ 948,822 1,617 WESTERNZAGROS RESOURCES LIMITED+ 2,747 12,320 WHITING PETROLEUM CORPORATION+ 598,013 21,692 WOODSIDE PETROLEUM LIMITED 898,371 85,002,189 --------------- OIL FIELD SERVICES: 0.01% 1,823 FUGRO NV 98,136 --------------- OIL SERVICES: 0.00% 225 SCHOELLER-BLECKMANN OILFIELD EQUIPMENT AG 9,187 --------------- PAPER & ALLIED PRODUCTS: 0.70% 1,791 AHLSTROM OYJ 23,160 27,660 BEMIS COMPANY INCORPORATED 735,479 10,000 C C LAND HOLDINGS LIMITED 5,084 4,000 CHUETSU PULP & PAPER COMPANY LIMITED 9,758 147 CLEARWATER PAPER CORPORATION+ 6,784 8,493 COMPANIA MANUFACTURERA DE PAPELES Y CARTONES SA 249,997 2,817 CORPORATE EXPRESS AUSTRALIA LIMITED 9,881 6,000 DAIO PAPER CORPORATION 57,324 37,430 DOMTAR CORPORATION+<< 1,326,145 4,990 DS SMITH PLC 7,384 5,355 GREIF INCORPORATED CLASS A 265,287 5,000 HOKUETSU PAPER MILLS LIMITED 27,136 1,100 HOLMEN AB CLASS B 31,215 186,000 INDAH KIAT PULP AND PAPER CORPORATION TBK PT+ 32,661 109,500 INTERNATIONAL PAPER COMPANY 2,513,025 21,216 KIMBERLY-CLARK CORPORATION 1,282,719 12,000 LEE & MAN PAPER MANUFACTURING LIMITED 19,447 155 MAYR-MELNHOF KARTON AG 14,777 44,400 MEADWESTVACO CORPORATION 974,580 15,000 MITSUBISHI PAPER MILLS LIMITED 21,118 8,347 MONDI PLC 39,895 682 MONDI SWIECIE SA 12,885 57,000 NINE DRAGONS PAPER HOLDINGS LIMITED 63,027 5,900 NIPPON PAPER GROUP INCORPORATED 173,418 500 NORSKE SKOGINDUSTRIER ASA 910 65,868 OFFICEMAX INCORPORATED 744,967 47,000 OJI PAPER COMPANY LIMITED 221,741 28,280 PACKAGING CORPORATION OF AMERICA 575,781 172 Wells Fargo Advantage Master Portfolios Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - --------------- ------------- -------------- PAPER & ALLIED PRODUCTS (continued) 36,300 PACTIV CORPORATION+ $ 902,055 16,239 PAPERLINX LIMITED 9,470 12,000 RENGO COMPANY LIMITED 74,798 38,357 SAPPI LIMITED 148,902 1,521 SMURFIT KAPPA GROUP PLC 11,971 558 SOCIETE BIC SA 34,278 27,361 SONOCO PRODUCTS COMPANY 709,744 12,900 STORA ENSO OYJ 88,584 1,000 SVENSKA CELLULOSA AB CLASS A 12,994 14,600 SVENSKA CELLULOSA AB CLASS B 190,334 78,400 TEMPLE-INLAND INCORPORATED 1,325,744 12,576 UPM-KYMMENE OYJ 151,084 42,934 WAUSAU PAPER CORPORATION 414,742 80,580 YUEN FOONG YU PAPER MANUFACTURING COMPANY LIMITED 24,847 13,545,132 --------------- PERSONAL SERVICES: 0.29% 36,600 CINTAS CORPORATION 1,004,304 93,111 H & R BLOCK INCORPORATED 1,608,958 3,350 PANTALOON RETAIL INDIA LIMITED 21,537 47,385 REGIS CORPORATION 766,689 70,363 SALLY BEAUTY HOLDINGS INCORPORATED+<< 500,281 218,843 SERVICE CORPORATION INTERNATIONAL US 1,549,408 400 WEIGHT WATCHERS INTERNATIONAL INCORPORATED 10,972 9,146 WORLEYPARSONS LIMITED 220,079 5,682,228 --------------- PETROLEUM REFINING & RELATED INDUSTRIES: 2.47% 59,238 POLISH OIL & GAS 80,210 57,588 ASHLAND INCORPORATED 2,112,328 5,728 CALTEX AUSTRALIA LIMITED 59,887 103,723 CHEVRON CORPORATION 7,254,387 96,000 CHINA SHIPPING DEVELOPMENT COMPANY LIMITED CLASS H 120,272 712,000 CNOOC LIMITED 935,192 689 COMPAGNIE GENERALE DE GEOPHYSIQUE-VERITAS ADR+<< 14,793 66,403 CONOCOPHILLIPS 2,990,127 64,329 ENI SPA 1,525,363 890 ERG SPA 12,683 255,731 EXXON MOBIL CORPORATION 17,683,799 157,590 FORMOSA PETROCHEMICAL CORPORATION 374,388 63,636 FRONTIER OIL CORPORATION 816,450 20,123 HESS CORPORATION 1,018,023 12,470 HINDUSTAN PETROLEUM CORPORATION LIMITED 90,463 25,836 HOLLY CORPORATION 590,094 6,900 IMPERIAL OIL LIMITED 248,142 44 INPEX HOLDINGS INCORPORATED 359,377 564 INTEROIL CORPORATION+ 17,376 36,261 MARATHON OIL CORPORATION 1,119,369 681 MOTOR OIL (HELLAS) CORINTH REFINERIES SA 9,490 12,933 MURPHY OIL CORPORATION 737,181 10,180 PETROL OFISI+ 48,860 113,000 PETRON CORPORATION 13,200 45,300 PETRONAS DAGANGAN BHD 110,886 1,567 PETROPLUS HOLDINGS AG+ 38,446 22,733 POLSKI KONCERN NAFTOWY ORLEN SA 232,249 Wells Fargo Advantage Master Portfolios 173 Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - --------------- ------------- -------------- PETROLEUM REFINING & RELATED INDUSTRIES (continued) 1,096 PRZEDSIEBIORSTWO EKSPORTU I IMPORTU KOPEX SA $ 8,628 69,185 RELIANCE PETROLEUM LIMITED+ 176,275 95,743 ROYAL DUTCH SHELL PLC CLASS A 2,656,630 5,636 S-OIL CORPORATION 259,484 3,340 SBM OFFSHORE NV 69,431 6,448 SEADRILL LIMITED 114,653 14,200 SHELL REFINING COMPANY FEDERATION OF MALAYA BHD 42,743 3,247 SK CORPORATION 272,988 6,192 SK ENERGY COMPANY LIMITED 498,275 27,975 STATOIL ASA 609,470 41,028 SUNCOR ENERGY INCORPORATED 1,255,106 32,474 SUNOCO INCORPORATED 873,551 38,212 TESORO CORPORATION 538,025 37,200 THAI OIL PCL 44,299 23,000 TOHO GAS COMPANY LIMITED 106,781 8,998 TUPRAS TURKIYE PETROL RAFINERILERI AS 134,961 28,551 VALERO ENERGY CORPORATION 535,046 18,277 WORLD FUEL SERVICES CORPORATION<< 821,368 47,630,749 -------------- PHARMACEUTICALS: 0.07% 26,668 AUXILIUM PHARMACEUTICALS INCORPORATED+<< 767,772 1,037 LABORATORIOS ALMIRALL SA 12,339 36,721 SAVIENT PHARMACEUTICALS INCORPORATED+<< 510,055 1,290,166 -------------- PIPELINES: 0.03% 17,611 APA GROUP 43,761 64,000 CHINA GAS HOLDINGS LIMITED 17,341 21,707 IBERDROLA RENOVABLES 99,582 1,032 PEMBINA PIPELINE 14,574 16,100 TRANSCANADA CORPORATION 479,434 654,692 -------------- PRIMARY METAL INDUSTRIES: 1.33% 4,000 AICHI STEEL CORPORATION 17,109 67,431 AK STEEL HOLDING CORPORATION 1,370,198 49,665 ALCOA INCORPORATED 598,463 25,240 ALLEGHENY TECHNOLOGIES INCORPORATED<< 766,539 294,000 ALUMINUM CORPORATION OF CHINA LIMITED 311,812 17,505 AQUARIUS PLATINUM LIMITED 74,862 31,298 ASHOK LEYLAND LIMITED 25,096 773 BOSCH LIMITED 62,787 6,717 CAP SA 160,541 774,799 CHINA STEEL CORPORATION 703,796 2,600 CHUBU STEEL PLATE COMPANY LIMITED 20,817 66,203 CHUNG HUNG STEEL CORPORATION 24,939 31,039 CIA SIDERURGICA NACIONAL SA 808,625 50,230 COMMSCOPE INCORPORATED+ 1,354,201 27,800 CURTISS-WRIGHT CORPORATION 905,446 3,623 DONGKUK STEEL MILL COMPANY LIMITED 84,708 164 EL EZZ ALDEKHELA STEEL ALEXANDRIA 22,854 15,612 EL EZZ STEEL COMPANY 42,342 45,649 EREGLI DEMIR VE CELIK FABRIKALARI TAS 181,062 5,350 EXXARO RESOURCES LIMITED 63,544 174 Wells Fargo Advantage Master Portfolios Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - --------------- ------------- -------------- PRIMARY METAL INDUSTRIES (continued) 38,690 FENG HSIN IRON & STEEL COMPANY $ 61,003 31,925 GENERAL CABLE CORPORATION+ 1,126,314 3,268 GERDAU AMERISTEEL CORPORATION 23,732 30,862 GERDAU SA 277,229 7,000 GODO STEEL LIMITED 17,152 1,593 HIGHVELD STEEL AND VANADIUM CORPORATION LIMITED 15,562 8,000 HITACHI METALS LIMITED 81,505 12,423 HUBBELL INCORPORATED CLASS B 477,913 4,269 HYUNDAI STEEL COMPANY 271,064 27,100 JFE HOLDINGS INCORPORATED 946,534 76,899 JSC MMC NORILSK NICKEL ADR 810,515 9,233 JSW STEEL LIMITED 130,321 13,307 KAISER ALUMINUM CORPORATION 430,215 24,000 KURIMOTO LIMITED 25,793 700 KYOEI STEEL LIMITED 16,701 903 LINDAB INTERNATIONAL AB 8,689 3,600 MARUICHI STEEL TUBE LIMITED 75,134 19,011 MATTHEWS INTERNATIONAL CORPORATION 662,343 65,000 MIDAS HOLDINGS LIMITED 38,343 10,000 MITSUBISHI STEEL MANUFACTURING COMPANY LIMITED 23,213 12,936 MITTAL STEEL SOUTH AFRICA LIMITED 194,219 32,267 MUELLER INDUSTRIES INCORPORATED 780,539 1,152 MYTILINEOS HOLDINGS SA 9,628 14,000 NAKAYAMA STEEL WORKS LIMITED 29,790 5,418,300 NAKORNTHAI STRIP MILL PCL+ 30,270 19,000 NIPPON METAL INDUSTRY COMPANY LIMITED 42,268 299,000 NIPPON STEEL CORPORATION 1,172,864 4,500 NIPPON YAKIN KOGYO COMPANY LIMITED 26,308 21,000 NSK LIMITED 137,442 19,800 NUCOR CORPORATION 881,892 51,723 ONESTEEL LIMITED 142,078 33,800 PARKSON HOLDINGS BHD 51,158 39,075 POLIMEX MOSTOSTAL SA 58,787 5,025 POSCO 1,856,864 9,497 PRECISION CASTPARTS CORPORATION 866,886 2,052 RAUTARUUKKI OYJ 47,892 12,684 RTI INTERNATIONAL METALS INCORPORATED+ 243,786 9,000 SANYO SPECIAL STEEL COMPANY LIMITED 36,561 13,525 SCHNITZER STEEL INDUSTRY 730,485 126,000 SHOUGANG CONCORD INTERNATIONAL ENTERPRISES COMPANY LIMITED 22,435 83,114 STEEL AUTHORITY OF INDIA LIMITED 276,876 56,415 STEEL DYNAMICS INCORPORATED 933,668 33,792 TATA STEEL LIMITED 293,625 12,655 TENARIS SA 184,689 8,590 THYSSENKRUPP AG 291,859 684 TIMMINCO LIMITED+ 775 27,229 TITANIUM METALS CORPORATION<< 223,822 6,000 TOHO ZINC COMPANY LIMITED 29,404 1,800 TOPRE CORPORATION 16,907 9,000 TOPY INDUSTRIES LIMITED 22,536 57,680 TUNG HO STEEL ENTERPRISE CORPORATION 58,878 38,488 UNITED STATES STEEL CORPORATION<< 1,685,005 10,094 USINAS SIDERURGICAS DE MINAS GERAIS SA 238,813 7,024 WELSPUN-GUJARAT STAHL LIMITED 33,721 55,811 WORTHINGTON INDUSTRIES<< 735,031 2,500 YAMATO KOGYO COMPANY LIMITED 74,691 Wells Fargo Advantage Master Portfolios 175 Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - --------------- ------------- -------------- PRIMARY METAL INDUSTRIES (continued) 6,000 YODOGAWA STEEL WORKS LIMITED $ 27,018 600 YUSHIRO CHEMICAL INDUSTRY COMPANY LIMITED 9,601 25,618,087 -------------- PRINTING, PUBLISHING & ALLIED INDUSTRIES: 0.73% 6,597 AGGREKO PLC 71,311 160,792 CBS CORPORATION CLASS B 1,664,197 5,850 COMPAGNIE INDUSTRIALI RIUNITE 12,010 31,000 DAI NIPPON PRINTING COMPANY LIMITED 452,757 1,978 DE LA RUE PLC 28,063 199,418 GANNETT COMPANY INCORPORATED<< 1,722,972 32,079 HARTE HANKS INCORPORATED 418,310 29,330 HAYS PLC 49,610 783 HEIDELBERGER DRUCKMASCHINEN AG 6,847 4,209 INTERTEK GROUP PLC 82,841 29,983 JOHN WILEY & SONS INCORPORATED 961,555 2,905 JOHNSTON PRESS PLC 1,797 600 KADOKAWA GROUP HOLDINGS INCORPORATED 13,799 4,000 KOMORI CORPORATION 47,458 31,393 MEREDITH CORPORATION 868,958 61,505 MSCI INCORPORATED+ 1,809,477 21,839 NASPERS LIMITED 714,445 106,268 NEW YORK TIMES COMPANY CLASS A<< 808,699 2,000 NICHII GAKKAN COMPANY 23,127 1,600 NISSHA PRINTING COMPANY LIMITED 84,428 3,471 PAGESJAUNES SA 38,744 20,779 PEARSON PLC 254,380 1,137 PROMOTORA DE INFORMACIONES SA 6,830 18,608 PUBLISHING & BROADCASTING LIMITED 50,171 541 QUEBECOR INCORPORATED 12,196 2,518 RANDSTAD HOLDINGS NV 104,053 56,400 RR DONNELLEY & SONS COMPANY 1,006,176 960 SCHIBSTED ASA 13,720 12,654 SERCO GROUP PLC 96,470 7,526 SEVEN NETWORK LIMITED 40,519 83,000 SINGAPORE PRESS HOLDINGS LIMITED 210,819 33,600 STAR PUBLICATIONS LIMITED 31,296 503 TELEGRAAF MEDIA GROEP NV 9,360 4,800 THOMSON CORPORATION 153,153 30,000 TOPPAN PRINTING COMPANY LIMITED 296,292 1,036 TORSTAR CORPORATION 6,066 1,052 TRANSCONTINENTAL INCORPORATED 9,129 24,556 VISTAPRINT LIMITED+<< 1,017,601 1,458 WASHINGTON POST COMPANY CLASS B 633,297 8,902 WEST AUSTRALIAN NEWSPAPERS HOLDING LIMITED 50,411 7,423 WOLTERS KLUWER NV 146,962 5,714 YELLOW PAGES INCOME FUND 26,410 14,056,716 -------------- RAILROAD TRANSPORTATION: 0.41% 78,069 ALL AMERICA LATINA LOGISTICA 90,715 12,400 CANADIAN NATIONAL RAILWAY COMPANY 599,414 4,400 CANADIAN PACIFIC RAILWAY LIMITED 210,686 89 CENTRAL JAPAN RAILWAY COMPANY 601,623 308,000 CHINA RAILWAY GROUP LIMITED CLASS H+ 265,858 176 Wells Fargo Advantage Master Portfolios Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - --------------- ------------- -------------- RAILROAD TRANSPORTATION (continued) 19,000 EAST JAPAN RAILWAY COMPANY $ 1,241,483 22,268 GENESEE & WYOMING INCORPORATED+<< 698,770 6,769 GROUPE EUROTUNNEL SA 41,708 60,000 HANKYU HANSHIN HOLDINGS INCORPORATED 287,587 21,928 KANSAS CITY SOUTHERN+<< 524,079 27,000 KEIHAN ELECTRIC RAILWAY COMPANY LIMITED 119,549 23,000 KEIHIN ELECTRIC EXPRESS RAILWAY COMPANY LIMITED 190,575 27,000 KEIO CORPORATION 182,515 15,000 KEISEI ELECTRIC RAILWAY COMPANY LIMITED 104,944 80,000 KINTETSU CORPORATION 346,480 60,750 MTR CORPORATION LIMITED 204,187 42,000 NAGOYA RAILROAD COMPANY LIMITED 143,987 24,000 NANKAI ELECTRIC RAILWAY COMPANY LIMITED 106,008 19,000 NISHI-NIPPON RAILROAD COMPANY LIMITED 75,959 18,700 NORFOLK SOUTHERN CORPORATION 857,769 28,000 ODAKYU ELECTRIC RAILWAY COMPANY LIMITED 251,564 17,000 SAGAMI RAILWAY COMPANY LIMITED 73,262 41,000 TOBU RAILWAY COMPANY LIMITED 257,765 129,250 WAN HAI LINES LIMITED 64,200 94 WEST JAPAN RAILWAY COMPANY 325,287 7,865,974 -------------- REAL ESTATE: 1.14% 433 AAREAL BANK AG 8,889 17,969 ABACUS PROPERTY GROUP 5,467 3,600 AEON MALL COMPANY LIMITED 84,922 66,000 AGILE PROPERTY HOLDINGS LIMITED 75,023 18,000 ALLGREEN PROPERTIES LIMITED 14,615 101,453 APARTMENT INVESTMENT & MANAGEMENT COMPANY CLASS A 1,234,684 17,000 ASCENDAS INDIA TRUST 9,851 4,470 ATRIUM EUROPEAN REAL ESTATE LIMITED+ 28,068 1,011 ATRIUM LJUNGBERG AB 9,267 10,515 AUSTRALAND PROPERTY GROUP 4,755 17,805 BABCOCK & BROWN JAPAN PROPERTY TRUST 6,621 355 BEFIMMO SCA SICAFI 33,067 23,222 BRITISH LAND COMPANY PLC 183,353 40,600 BROOKFIELD PROPERTIES CORPORATION 446,517 51,700 BROOKFIELD PROPERTIES CORPORATION 567,149 2,000 BUKIT SEMBAWANG ESTATES LIMITED 5,843 5,609 BUNNINGS WAREHOUSE PROPERTY TRUST 8,130 1,016 CA IMMOBILIEN ANLAGEN AG+ 12,585 54,000 CAPITACOMMERICAL TRUST 33,353 116,500 CAPITALAND LIMITED 299,951 3,300 CASTELLUM AB 30,944 102,000 CATHAY REAL ESTATE DEVELOPMENT COMPANY LIMITED 37,495 13,000 CDL HOSPITALITY TRUSTS 12,721 53,000 CENTRAL PATTANA PCL 32,570 24,714 CENTRO PROPERTIES GROUP 3,551 35,798 CENTRO RETAIL GROUP 3,782 65,720 CFS RETAIL PROPERTY TRUST 105,539 76,589 CHAMPION REIT 28,262 6,484 CHARTER HALL GROUP 2,905 69,000 CHEUNG KONG HOLDINGS LIMITED 818,604 190,480 CHINA OVERSEAS LAND & INVESTMENT LIMITED 387,328 82,000 CHINA RESOURCES LAND LIMITED 171,608 80 CHINA VANKE COMPANY LIMITED CLASS B 93 Wells Fargo Advantage Master Portfolios 177 Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - --------------- ------------- -------------- REAL ESTATE (continued) 43,696 CHINESE ESTATES HOLDINGS LIMITED $ 80,396 20,000 CITY DEVELOPMENTS LIMITED 137,965 3,570 CITYCON OYJ 12,744 73,698 COMMONWEALTH PROPERTY OFFICE FUND 55,749 1,137 CONWERT IMMOBILIEN INVEST SE+ 13,937 241,184 COUNTRY GARDEN HOLDINGS COMPANY LIMITED 98,957 19,063 CROMWELL GROUP 9,909 5 DA OFFICE INVESTMENT CORPORATION 15,846 5,400 DAIBIRU CORPORATION 48,748 7,000 DAIKYO INCORPORATED 18,205 4,100 DAITO TRUST CONSTRUCTION COMPANY LIMITED 195,637 225,657 DB RREEF TRUST 142,091 2,531 DERWENT VALLEY HOLDINGS PLC 47,384 58,654 DLF LIMITED 509,536 11,760 ECHO INVESTMENT 20,202 665 EUROCOMMERCIAL PROPERTIES NV 26,389 2,000 FABEGE AB 11,014 38,950 FAR EAST CONSORTIUM 9,297 20,000 FARGLORY LAND DEVELOPMENT COMPANY LIMITED 35,484 681 FIRST CAPITAL REALTY INCORPORATED 11,900 9,279 FKP PROPERTY GROUP 5,725 516 FONCIERE DES REGIONS 54,001 21,557 FORESTAR REAL ESTATE GROUP INCORPORATED+ 311,283 138,000 FRANSHION PROPERTIES CHINA LIMITED 38,816 7 FRONTIER REAL ESTATE INVESTMENT CORPORATION 49,952 68 GAZIT AMERICA INCORPORATED+ 280 4,376 GAZIT GLOBE LIMITED 35,377 481 GECINA SA 47,704 158,600 GENTING INTERNATIONAL PLC+ 111,167 4 GLOBAL ONE REAL ESTATE INVESTMENT CORPORATION 29,790 750 GOLDCREST COMPANY LIMITED 21,964 273,900 GOLDEN LAND PROPERTY PCL+ 25,932 430,098 GPT GROUP 223,564 10,514 GREAT EAGLE HOLDINGS LIMITED 22,628 7,106 GREAT PORTLAND ESTATES PLC 30,656 12,000 GREENTOWN CHINA HOLDINGS LIMITED 14,322 78,800 GUANGZHOU R&F PROPERTIES 128,716 14,666 GUOCOLAND LIMITED 21,272 30,401 HAMMERSON PLC 200,393 40,000 HANG LUNG GROUP LIMITED 184,247 87,000 HANG LUNG PROPERTIES LIMITED 271,087 31,401 HATTERAS FINANCIAL CORPORATION<< 938,576 6,500 HEIWA REAL ESTATE COMPANY LIMITED 22,703 945 HELIOPOLIS HOUSING 6,653 18,000 HENDERSON INVESTMENTS LIMITED 1,486 48,762 HENDERSON LAND DEVELOPMENT COMPANY LIMITED 286,578 56,000 HONGKONG LAND HOLDINGS LIMITED 227,920 30,000 HOPEWELL HOLDINGS 90,769 26,000 HOPSON DEVELOPMENT HOLDINGS LIMITED 38,243 6,000 HOTEL PROPERTIES LIMITED 8,578 14,560 HOUSING DEVELOPMENT & INFRASTRUCTURE LIMITED 94,651 26,769 HYSAN DEVELOPMENT COMPANY LIMITED 62,791 431 ICADE 40,163 56,200 IGB CORPORATION BHD 28,886 6,108 IMMOEAST IMMOBILIEN ANLAGEN AG+ 31,261 178 Wells Fargo Advantage Master Portfolios Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - --------------- ------------- -------------- REAL ESTATE (continued) 6,839 IMMOFINANZ IMMOBILIEN ANLAGEN AG $ 21,668 12,510 INDIABULLS REAL ESTATE LIMITED 70,435 43,055 ING INDUSTRIAL FUND 18,377 63,600 ING OFFICE FUND 29,296 24,150 ING PROPERTY TRUST 12,761 855 IRSA INVERSIONES Y REPRESENTACIONES SA ADR<< 5,335 1,008 IVG IMMOBILIEN AG 7,558 6 JAPAN EXCELLENT INCORPORATED 29,275 6 JAPAN LOGISTICS FUND INCORPORATED 40,946 35,871 JONES LANG LASALLE INCORPORATED 1,667,568 6 KENEDIX REALTY INVESTMENT 22,504 19,592 KEPPEL LAND LIMITED 34,807 26,053 KERRY PROPERTIES LIMITED 123,366 22,928 KIWI INCOME PROPERTY TRUST 16,364 2,118 KLEPIERRE 79,599 12,000 KOWLOON DEVELOPMENT COMPANY LIMITED 12,232 3,102 KUNGSLEDEN 21,614 18,000 KWG PROPERTY HOLDING LIMITED 10,567 20,406 LAND SECURITIES GROUP PLC 205,133 18,496 LEND LEASE CORPORATION LIMITED 147,418 5,700 LEOPALACE21 CORPORATION 51,579 13,803 LIBERTY INTERNATIONAL PLC 117,748 992,500 LIPPO KARAWACI TBK PT 63,016 350 LUNDBERGFORETAGEN AB 15,857 132,974 MACQUAIRE OFFICE TRUST 30,345 64,198 MACQUARIE COUNTRYWIDE TRUST 34,184 23,226 MACQUARIE DDR TRUST 1,747 103,519 MACQUARIE GOODMAN GROUP 54,247 71,000 MAPLETREE LOGISTICS TRUST 32,520 257,000 MEGAWORLD CORPORATION 8,532 149 METROVACESA SA 5,304 700 MI DEVELOPMENTS INCORPORATED 9,374 5 MID REAL ESTATE INVESTMENT TRUST INCORPORATED 11,091 24,000 MIDLAND HOLDINGS LIMITED 17,310 9,000 MIRAMAR HOTEL & INVESTMENT 8,918 114,422 MIRVAC GROUP 143,130 17,147 MIRVAC REAL ESTATE INVESTMENT TRUST 8,406 65,189 MITSUBISHI ESTATE COMPANY LIMITED 1,080,995 41,000 MITSUI FUDOSAN COMPANY LIMITED 774,616 35,000 NEO-CHINA GROUP HOLDINGS LIMITED(a) 22,354 4 NEW CITY RESIDENCE INVESTMENT CORPORATION(a) 0 31,600 NEW WORLD CHINA LAND LIMITED 15,045 429 NEXITY SA 16,197 9 NIPPON COMMERCIAL INVESTMENT CORPORATION 16,172 9 NIPPON RESIDENTIAL INVESTMENT CORPORATION 22,440 3,800 NOMURA REAL ESTATE HOLDING INCORPORATED 66,566 40 NTT URBAN DEVELOPMENT CORPORATION 39,549 12 ORIX JREIT INCORPORATED 62,418 46,927 PHH CORPORATION+<< 997,668 4 PREMIER INVESTMENT COMPANY 16,851 1,125 PSP SWISS PROPERTY AG 61,780 1,431 QUINTAIN ESTATES & DEVELOPMENT PLC 4,153 28,000 RUENTEX DEVELOPMENT COMPANY LIMITED 22,712 2,158 SACYR VALLEHERMOSO SA 35,981 1,600 SANKEI BUILDING COMPANY LIMITED THE 12,415 Wells Fargo Advantage Master Portfolios 179 Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - --------------- ------------- -------------- REAL ESTATE (continued) 15,147 SEGRO PLC $ 88,670 3,313 SHAFTESBURY PLC 20,443 78,000 SHENZHEN INVESTMENT LIMITED 28,078 51,000 SHIMAO PROPERTY HOLDING LIMITED 75,936 1,300 SHOEI 10,478 86,900 SHUI ON LAND LIMITED 48,101 60,000 SHUN TAK HOLDINGS LIMITED 40,023 241 SILIC STE IMMOBILIERE DE LOCATION POUR L'INDUSTRIE ET LE COMMERCE 29,091 4,000 SINGAPORE LAND LIMITED 14,352 83,193 SINO LAND COMPANY 142,118 454,563 SM PRIME HOLDINGS INCORPORATED 97,816 81,000 SOHO CHINA LIMITED 43,058 58,850 SP SETIA BHD 74,868 68,132 STEWART ENTERPRISES INCORPORATED 361,781 103,465 STOCKLAND 330,556 360 SUMITOMO REAL ESTATE SALES COMPANY LIMITED 15,514 22,000 SUMITOMO REALTY & DEVELOPMENT COMPANY LIMITED 463,170 65,000 SUN HUNG KAI PROPERTIES LIMITED 879,755 5,777 SUNLAND GROUP LIMITED 3,491 600 SURUGA CORPORATION(a) 0 525 SWISS PRIME SITE AG+ 25,484 52,507 TALAAT MOUSTAFA GROUP+ 60,421 23,044 THE ST. JOE COMPANY+<< 755,843 23,399 TIAN AN CHINA INVESTMENT 12,740 11,023 TISHMAN SPEYER OFFICE FUND 3,214 4,500 TOC COMPANY LIMITED 21,569 21,000 TOKYU LAND CORPORATION 98,399 2,113 UNIBAIL 417,880 40,000 UNITED INDUSTRIAL CORPORATION LIMITED SGD 51,077 24,000 UNITED OVERSEAS LAND LIMITED 57,129 8 UNITED URBAN INVESTMENT CORPORATION 44,621 52,951 VALAD PROPERTY GROUP 5,594 405 VASTNED RETAIL NV 24,589 99,116 WESTFIELD GROUP 1,060,565 40,000 WHEELOCK & COMPANY 107,607 10,000 WHEELOCK PROPERTIES (SINGAPORE) LIMITED 12,561 20,000 WHEELOCK PROPERTIES LIMITED 12,386 7,000 WING TAI HOLDINGS LIMITED 8,453 21,922,510 --------------- REAL ESTATE DEVELOPING & MANAGEMENT: 0.00% 18,718 AMP NZ OFFICE TRUST 10,276 7 ATHRIS HOLDING AG+ 6,545 703 DEUTSCHE EUROSHOP AG 22,555 39,376 --------------- REAL ESTATE HOLDING COMPANY: 0.00% 43,250 UEM LAND HOLDINGS BHD+ 19,774 --------------- REAL ESTATE INVESTMENT TRUSTS (REITS): 0.37% 41,000 ASCENDAS REIT 46,948 107,265 BRANDYWINE REALTY TRUST<< 1,138,082 341 CALLOWAY REAL ESTATE INVESTMENT TRUST 5,102 83,636 CAPITAMALL TRUST 94,609 234 COFINIMMO SA 30,997 1,873 CORIO NV 114,535 180 Wells Fargo Advantage Master Portfolios Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - --------------- ------------- -------------- REAL ESTATE INVESTMENT TRUSTS (REITS) (continued) 14,762 FEDERAL REALTY INVESTMENT TRUST<< $ 920,706 3 FUKUOKA REIT CORPORATION 15,927 3 HANKYU REIT INCORPORATED 13,928 51,042 HEALTHCARE REALTY TRUST INCORPORATED 1,105,059 27 JAPAN PRIME REALTY INVESTMENT CORPORATION 64,562 21 JAPAN REAL ESTATE INVESTMENT CORPORATION 171,069 16 JAPAN RETAIL FUND INVESTMENT CORPORATION 85,287 13,000 K-REIT ASIA 9,744 69,910 LEXINGTON CORPORATE PROPERTIES TRUST 325,781 46,000 MACQUARIE MEAG PRIME REIT 17,398 5 MORI HILLS REIT INVESTMENT CORPORATION 19,183 6 MORI TRUST SOGO REIT INCORPORATED 48,361 26 NIPPON BUILDING FUND INCORPORATED 229,124 14 NOMURA REAL ESTATE OFFICE FUND 97,045 2,439 RIOCAN REIT 37,540 104,170 SENIOR HOUSING PROPERTIES TRUST 2,089,650 61,000 SUNTEC REIT 42,333 104,779 THE LINK REIT 230,906 7 TOKYU REIT INCORPORATED 39,570 7 TOP REIT INCORPORATED 29,113 443 WERELDHAVE NV 43,434 7,065,993 --------------- RENTAL AUTO/EQUIPMENT: 0.02% 44,376 UNITED RENTALS INCORPORATED+ 407,815 --------------- RETAIL: 0.09% 1,764 JUMBO SA 18,967 73,766 SIGNET JEWELERS LIMITED<< 1,787,350 1,806,317 --------------- RETAIL DEPARTMENT STORES: 0.06% 3,200 EDION CORPORATION 27,375 40,501 MEN'S WEARHOUSE INCORPORATED<< 1,053,026 65,000 PARKSON RETAIL GROUP LIMITED 94,769 188,400 ROBINSON DEPARTMENT STORE PCL 56,503 1,231,673 --------------- RETAIL-GROCERY: 0.00% 4,153 SUPER-SOL LIMITED 16,568 --------------- RUBBER & MISCELLANEOUS PLASTICS PRODUCTS: 0.38% 19,933 A SCHULMAN INCORPORATED 400,454 8,000 ACHILLES CORPORATION 13,498 57,327 AMCOR LIMITED 279,573 5,775 ANSELL LIMITED 47,102 3,000 BANDO CHEMICAL INDUSTRIES LIMITED 9,704 7,323 BRIDGESTONE CORPORATION<< 269,120 107,028 CHENG SHIN RUBBER INDUSTRY COMPANY LIMITED 204,194 3,890 COMPAGNIE GENERALE DES ESTABLISSEMENTS MICHELIN CLASS B 292,723 49,230 COOPER TIRE & RUBBER COMPANY 703,004 66,081 GOODYEAR TIRE & RUBBER COMPANY+ 1,089,676 7,920 HANKOOK TIRE COMPANY LIMITED 140,783 320 HEXPOL AB+ 2,248 76,113 JARDEN CORPORATION+ 1,853,352 6,000 KUREHA CORPORATION 36,432 Wells Fargo Advantage Master Portfolios 181 Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - --------------- ------------- -------------- RUBBER & MISCELLANEOUS PLASTICS PRODUCTS (continued) 3,000 MITSUBOSHI BELTING COMPANY LIMITED $ 12,896 33,771 NAN KANG RUBBER TIRE COMPANY LIMITED 31,907 4,000 NIPPON VALQUA INDUSTRIES LIMITED 8,898 900 NITTA CORPORATION 14,383 4,000 OKAMOTO INDUSTRIES INCORPORATED 15,390 43,500 SEALED AIR CORPORATION 822,585 1,000 TENMA CORPORATION 12,574 1,200 TOKAI RUBBER INDUSTRIES INCORPORATED 14,831 9,000 TOYO TIRE & RUBBER COMPANY LIMITED 21,376 36,000 TSRC CORPORATION 41,396 700 UPONOR OYJ 11,771 20,463 WEST PHARMACEUTICAL SERVICES INCORPORATED 822,408 15,000 YOKOHAMA RUBBER COMPANY LIMITED 78,184 7,250,462 -------------- SCHOOLS: 0.00% 9,288 ABC LEARNING CENTRES LIMITED(a) 0 64,340 RAFFLES EDUCATION CORPORATION LIMITED 23,888 23,888 -------------- SECURITY & COMMODITY BROKERS, DEALERS, EXCHANGES & SERVICES: 1.75% 14,619 ABERDEEN ASSET MANAGEMENT PLC 32,747 2,180 AGF MANAGEMENT LIMITED 29,372 70,208 AMERIPRISE FINANCIAL INCORPORATED 2,108,346 3,442 AZIMUT HOLDING SPA 39,698 1,507 BLACKROCK INCORPORATED NEW YORK SHARES 300,752 143,889 BMF BOVESPA SA 888,666 20,100 BURSA MALAYSIA BHD 44,521 4,962 CABCHARGE AUSTRALIA LIMITED 24,744 112,990 CAPITAL SECURITIES CORPORATION 47,027 64,190 CHARLES SCHWAB CORPORATION 1,159,271 4,565 CME GROUP INCORPORATED 1,328,598 17,974 CRITERIA CAIXACORP SA 90,187 14,870 DAEWOO SECURITIES COMPANY LIMITED 273,254 5,096 DEUTSCHE BOERSE AG 389,027 1,056 DUNDEE CORPORATION CLASS A 9,926 5,124 F&C ASSET MANAGEMENT PLC 6,340 28,306 FEDERATED INVESTORS INCORPORATED CLASS B 743,033 11,040 FRANKLIN RESOURCES INCORPORATED 1,030,363 637,960 FUHWA FINANCIAL HOLDINGS COMPANY LIMITED 394,407 21,943 GOLDMAN SACHS GROUP INCORPORATED 3,630,689 2,800 GREENHILL & COMPANY INCORPORATED 221,760 62,362 GRUPO FINANCIERO BANORTE SA DE CV 183,944 97,032 GRUPO FINANCIERO INBURSA SA DE CV 260,341 5,000 GUOCO GROUP LIMITED 47,900 820 HELLENIC EXCHANGES SA HOLDING 9,875 10,217 HYUNDAI SECURITIES COMPANY 136,619 1,500 ICHIYOSHI SECURITIES COMPANY LIMITED 10,623 2,900 IGM FINANCIAL INCORPORATED 108,344 8,280 INDIA INFOLINE LIMITED 23,021 17,948 INTERCONTINENTAL EXCHANGE INCORPORATED+ 1,683,522 1,769 INTERMEDIATE CAPITAL GROUP PLC 8,640 113,182 INVESCO LIMITED 2,348,527 14,209 INVESTEC LIMITED 106,538 26,820 INVESTMENT TECHNOLOGY GROUP INCORPORATED+ 660,845 182 Wells Fargo Advantage Master Portfolios Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - --------------- ------------- -------------- SECURITY & COMMODITY BROKERS, DEALERS, EXCHANGES & SERVICES (continued) 1,000 IWAI SECURITIES COMPANY LIMITED $ 9,124 3,500 JAPAN SECURITIES FINANCE COMPANY LIMITED 28,549 12,000 KIM ENG HOLDINGS LIMITED 17,405 86,600 KIM ENG SECURITIES THAILAND PCL 33,102 5,803 KINNEVIK INVESTMENT AB 78,667 46,736 LAZARD LIMITED 1,816,628 43,100 LEGG MASON INCORPORATED<< 1,239,556 48,561 MACQUARIE AIRPORTS GROUP 105,072 2,000 MARUSAN SECURITIES COMPANY LIMITED 13,799 61,000 MASTERLINK SECURITIES CORPORATION 20,385 84,504 MF GLOBAL LIMITED+<< 604,204 1,864 MIRAE ASSET SECURITIES COMPANY LIMITED 108,953 3,000 MITO SECURITIES COMPANY LIMITED 8,254 12,000 MIZUHO INVESTORS SECURITIES COMPANY LIMITED 14,186 61,852 MORGAN STANLEY 1,791,234 39,616 NASDAQ STOCK MARKET INCORPORATED+ 869,571 119,200 NOMURA HOLDINGS INCORPORATED 1,054,289 30,500 NOMURA HOLDINGS INCORPORATED ADR<< 270,535 11,900 NYSE EURONEXT (PARIS) INCORPORATED 337,246 137 NYSE EURONEXT INCORPORATED 3,830 7,000 OKASAN HOLDINGS INCORPORATED 34,756 25,779 OPTIONSXPRESS HOLDINGS INCORPORATED 428,963 12 PACIFIC MANAGEMENT CORPORATION(a) 0 276 PARTNERS GROUP 31,799 12,101 PIPER JAFFRAY COMPANIES INCORPORATED+<< 613,279 4,384 PLATINUM ASSET MANAGEMENT LIMITED 18,564 142,828 POLARIS SECURITIES COMPANY LIMITED+ 69,209 100,000 POLYTEC ASSET HOLDINGS LIMITED 17,547 82,250 PRESIDENT SECURITIES CORPORATION 40,980 710 RATHBONE BROTHERS 9,767 25,199 RAYMOND JAMES FINANCIAL INCORPORATED<< 573,277 8,017 RELIANCE CAPITAL LIMITED 143,157 150,000 REXCAPITAL FINANCIAL HOLDINGS LIMITED+ 12,193 4 RISA PARTNERS INCORPORATED 3,387 4,887 SAMSUNG SECURITIES COMPANY LIMITED 292,696 1,063 SCHRODERS PLC 15,774 21,000 SHINKO SECURITIES COMPANY LIMITED 78,990 16,816 STIFEL FINANCIAL CORPORATION+<< 946,741 58,300 SUMITOMO CORPORATION 597,097 17,436 T. ROWE PRICE GROUP INCORPORATED 790,200 56,800 TA ENTERPRISES BHD 19,033 14,457 TD AMERITRADE HOLDING CORPORATION+ 278,153 7,124 TONG YANG INVESTMENT BANK 92,700 1,767 TSX GROUP INCORPORATED 57,057 87,070 UBS AG 1,606,712 11,000 UOB-KAY HIAN HOLDINGS LIMITED 11,756 189 VAN LANSCHOT NV 9,754 9,710 WOORI INVESTMENT & SECURITIES COMPANY LIMITED 136,060 7,000 YAMANASHI CHOU BANK LIMITED 37,765 33,773,422 -------------- SEMICONDUCTOR EQUIPMENT MANUFACTURING & RELATED: 0.07% 56,399 APPLIED MICRO CIRCUITS CORPORATION+ 447,808 11,237 ASML HOLDING NV 308,255 Wells Fargo Advantage Master Portfolios 183 Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - --------------- ------------- -------------- SEMICONDUCTOR EQUIPMENT MANUFACTURING & RELATED (continued) 14,479 CABOT MICROELECTRONICS CORPORATION+ $ 500,249 2,200 CSR PLC+ 16,926 1,273,238 -------------- SEMICONDUCTORS: 0.17% 240,471 SILICONWARE PRECISION INDUSTRIES COMPANY 300,986 1,562,299 TAIWAN SEMICONDUCTOR MANUFACTURING COMPANY LIMITED 2,809,778 606,301 UNITED MICROELECTRONICS CORPORATION 248,661 3,359,425 -------------- SOCIAL SERVICES: 0.04% 8,069 ABERTIS INFRAESTRUCTURAS SA 175,549 7,874 ATLANTIA SPA 175,194 7,351 BRISA-AUTO ESTRADAS DE PORTUGAL SA 65,128 32,517 G4S PLC 118,259 56,780 TRANSURBAN GROUP 193,883 728,013 -------------- SOFTWARE: 0.04% 13,472 MANTECH INTERNATIONAL CORPORATION CLASS A+ 711,860 -------------- STEEL PRODUCERS, PRODUCTS: 0.00% 913 SALZGITTER AG 86,897 -------------- STONE, CLAY, GLASS & CONCRETE PRODUCTS: 0.51% 12,370 ADELAIDE BRIGHTON LIMITED 28,647 93,738 AMBUJA CEMENTS LIMITED 190,356 159,826 ASIA CEMENT CORPORATION 170,427 8,382 ASSOCIATED CEMENT COMPANIES LIMITED 138,541 27,739 BORAL LIMITED 135,747 1,819 BRICKWORKS LIMITED 21,278 3,000 BUNKA SHUTTER COMPANY LIMITED 11,478 1,499 BUZZI UNICEM SPA 25,616 11,173 CEMENTOS BIO-BIO SA 23,204 2,855 CEMENTOS LIMA SA 27,105 670,411 CEMEX SAB DE CV 887,573 29,980 CHINA INTERNATIONAL MARINE CONTAINERS COMPANY LIMITED CLASS B 29,011 800 CHOFU SEISAKUSHO COMPANY LIMITED 17,152 116 CIMENTS FRANCAIS SA 12,733 6,505 CIMPOR CIMENTOS DE PORTUGAL SA 47,654 5,200 CLEANUP CORPORATION 36,548 12,115 COMPAGNIE DE SAINT-GOBAIN 545,187 106,576 CORNING INCORPORATED 1,607,166 18,886 CRH PLC 484,645 101,100 DYNASTY CERAMIC PCL 62,426 25,911 EAGLE MATERIALS INCORPORATED<< 682,237 27 FORBO HOLDING AG 6,757 3,000 FUJITEC COMPANY LIMITED 17,378 641 GERRESHEIMER AG 18,066 61,550 GOLDSUN DEVELOPMENT & CONSTRUCTION COMPANY LIMITED 29,825 273 HEIDELBERGCEMENT AG 16,007 790 IMERYS SA 41,395 14,879 INDIA CEMENTS LIMITED 40,957 79,500 INDOCEMENT TUNGGAL PRAKARSA TBK PT 79,263 888 ITALCEMENTI SPA 13,316 184 Wells Fargo Advantage Master Portfolios Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - --------------- ------------- -------------- STONE, CLAY, GLASS & CONCRETE PRODUCTS (continued) 2,435 ITALCEMENTI SPA RNC $ 18,851 20,453 JAMES HARDIE INDUSTRIES NV 120,144 33,000 K WAH INTERNATIONAL HOLDINGS LIMITED 9,027 30,270 LAFARGE MALAYAN CEMENT BHD 53,294 5,029 LAFARGE SA 427,603 7,300 MADRAS CEMENTS LIMITED 16,177 3,000 NICHIAS CORPORATION 11,542 2,000 NIHON YAMAMURA GLASS COMPANY LIMITED 6,341 23,847 OWENS CORNING INCORPORATED+ 532,742 45,883 OWENS-ILLINOIS INCORPORATED+ 1,557,269 5,000 PANAHOME CORPORATION 31,703 41,185 PRETORIA PORTLAND CEMENT COMPANY LIMITED 170,100 22,837 REXAM PLC 99,449 250 SA DES CIMENTS VICAT 18,486 12,000 SANKYO-TATEYAMA HOLDINGS INCORPORATED 13,025 104,500 SEMEN GRESIK PERSERO TBK PT 61,684 20,000 SIAM CEMENT PCL 114,084 4,800 SIAM CITY 29,638 15,730 SIG PLC 35,954 51 SIKA AG 64,731 4,510 SUEZ CEMENT COMPANY 33,407 18,000 SUMITOMO OSAKA CEMENT COMPANY LIMITED 38,302 40,000 TAIHEIYO CEMENT CORPORATION 69,210 250,854 TAIWAN CEMENT CORPORATION 272,067 103,505 TAIWAN GLASS INDUSTRIAL CORPORATION 64,462 6,000 TAKARA STANDARD COMPANY LIMITED 35,271 5,677 TATA CHEMICALS LIMITED 28,859 960 TITAN CEMENT COMPANY SA 27,801 8,600 TOYO SEIKAN KAISHA LIMITED 179,486 3,390 ULTRA TECH CEMENT LIMITED 52,893 123,083 UNITED TRACTORS TBK PT 164,843 331,800 VANACHAI GROUP PCL 19,512 14,000 YTL CEMENT BHD 16,499 9,842,151 -------------- TELECOMMUNICATIONS: 0.03% 10,500 BRASIL TELECOM PARTICIPACOES SA 91,590 3,084 FIRST QUANTUM MINERALS LIMITED 182,631 1,224 HOT TELECOMMUNICATION SYSTEM LIMITED+ 11,323 58,000 HUTCHISON TELECOMMUNICATIONS INTERNATIONAL LIMITED+ 12,273 24,600 RELIANCE COMMUNICATIONS LIMITED 131,200 1,144 TECH MAHINDRA LIMITED 22,232 81,100 TOTAL ACCESS COMMUNICATION PCL 81,672 34,628 TURK TELEKOMUNIKASYON AS 105,724 638,645 -------------- TEXTILE MILL PRODUCTS: 0.16% 5,004 ADITYA BIRLA NUVO LIMITED 102,934 23,218 ALBANY INTERNATIONAL CORPORATION CLASS A 399,117 8,000 ATSUGI COMPANY LIMITED 11,263 5,917 CENTURY TEXTILE & INDUSTRIES LIMITED 55,922 86,000 CHINA GRAND FORESTRY RESOURCES GROUP LIMITED+ 3,495 6,000 DAIWABO COMPANY LIMITED 27,534 259,358 FAR EASTERN TEXTILE COMPANY LIMITED 258,440 64,000 FORMOSA TAFFETA COMPANY LIMITED 40,247 Wells Fargo Advantage Master Portfolios 185 Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - --------------- ------------- -------------- TEXTILE MILL PRODUCTS (continued) $ 2,737 GILDAN ACTIVEWEAR INCORPORATED+ $ 56,378 31,349 INTERFACE INCORPORATED 207,217 8,000 KURABO INDUSTRIES LIMITED 17,625 15,500 KURARAY COMPANY LIMITED 169,076 406 LAKSHMI MACHINE WORKS LIMITED 9,138 26,000 MITSUBISHI RAYON COMPANY LIMITED 85,782 15,250 MOHAWK INDUSTRIES INCORPORATED+<< 764,330 7,000 NISSHINBO INDUSTRIES INCORPORATED 81,773 9,000 NITTO BOSEKI COMPANY LIMITED 17,797 1,360 NYRSTAR 14,038 45,618 RUENTEX INDUSTRIES LIMITED 52,940 2,100 SEIREN COMPANY LIMITED 13,631 6,451 SPOTLESS GROUP LIMITED 13,631 62,000 TAINAN SPINNING COMPANY LIMITED 19,118 47,000 TEIJIN LIMITED 155,067 22,000 TEXWINCA HOLDINGS LIMITED 17,315 67,000 TORAY INDUSTRIES INCORPORATED 391,703 40,000 TOYOBO COMPANY LIMITED 76,518 17,000 UNITIKA 16,443 298,300 UNIVERSAL ROBINA CORPORATION 64,190 3,142,662 -------------- TOBACCO PRODUCTS: 0.71% 104,260 ALTRIA GROUP INCORPORATED 1,905,873 14,000 AMVIG HOLDINGS LIMITED 9,429 10,800 BRITISH AMERICAN TOBACCO MALAYSIA BHD 140,770 10,517 BRITISH AMERICAN TOBACCO PLC 320,816 53,970 BRITISH AMERICAN TOBACCO PLC 1,646,513 1,036 EASTERN TOBACCO 25,286 4,197 FILTRONA PLC 11,287 45,000 HUABAO INTERNATIONAL HOLDINGS LIMITED 46,623 28,470 IMPERIAL TOBACCO GROUP PLC 801,815 169,564 ITC LIMITED 802,065 224 JAPAN TOBACCO INCORPORATED 649,732 11,658 LORILLARD INCORPORATED 848,353 101,226 PHILIP MORRIS INTERNATIONAL 4,627,040 68,500 PT GUDANG GARAM TBK 97,178 8,469 REYNOLDS AMERICAN INCORPORATED 387,118 5,500 SOUZA CRUZ SA+ 175,678 6,500 SWEDISH MATCH AB 125,097 739,500 TELEKOMUNIKASI INDONESIA TBK PT 616,250 15,344 UNIVERSAL CORPORATION<< 565,887 13,802,810 -------------- TRANSPORTATION: 0.00% 13,204 ESSAR SHIPPING PORTS & LOGISTICS LIMITED 18,390 -------------- TRANSPORTATION BY AIR: 0.55% 30 ACE AVIATION HOLDINGS INCORPORATED+ 119 815 AEROPORTS DE PARIS 70,080 166,000 AIR CHINA 97,667 5,854 AIR FRANCE-KLM 89,337 87,300 AIRASIA BHD+ 33,963 53,200 AIRPORTS OF THAILAND PCL 57,095 32,900 ALITALIA SPA+(a) 0 54,000 ALL NIPPON AIRWAYS COMPANY LIMITED 166,556 186 Wells Fargo Advantage Master Portfolios Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - --------------- ------------- -------------- TRANSPORTATION BY AIR (continued) 247,274 AMR CORPORATION+ $ 1,350,116 4,155 ARRIVA PLC 32,021 94,215 BAE SYSTEMS PLC 478,844 4,900 BOMBARDIER INCORPORATED 17,769 11,756 BRITISH AIRWAYS PLC+ 36,650 41,000 CATHAY PACIFIC AIRWAYS LIMITED 59,460 134,581 CHINA AIRLINES(a) 32,218 28,525 COBHAM PLC 93,896 86,513 CONTINENTAL AIRLINES INCORPORATED CLASS B+<< 1,148,028 213,111 DELTA AIR LINES INCORPORATED+ 1,538,661 5,203 DEUTSCHE LUFTHANSA AG 83,542 4,419 EASYJET PLC+ 23,006 1,785 ELBIT SYSTEMS LIMITED 116,054 8,418 EUROPEAN AERONAUTIC DEFENCE & SPACE COMPANY 174,505 187,000 EVA AIRWAYS CORPORATION+ 42,949 15,000 FEDEX CORPORATION 1,030,650 9,625 FINMECCANICA SPA 153,715 99 FLUGHAFEN ZUERICH AG 26,739 13,369 IBERIA LINEAS AEREAS DE ESPANA SA 33,330 41,000 JAPAN AIRLINES CORPORATION+ 73,584 63 JAZZ AIR INCOME FUND 198 217,162 JETBLUE AIRWAYS CORPORATION+<< 1,261,711 740 KLOECKNER & COMPANY 19,732 2,420 KOREAN AIR LINES COMPANY LIMITED 80,996 9,885 LAN AIRLINES SA 118,138 23,067 MALAYSIAN AIRLINE SYSTEM BHD+ 20,634 16,312 MEGGITT PLC 56,853 51,388 QANTAS AIRWAYS LIMITED 109,886 5,200 RYANAIR HOLDINGS PLC ADR+<< 142,428 22,500 SAS AB+ 13,117 52,675 SKYWEST INCORPORATED 813,829 13,260 TAV HAVALIMANLARI HOLDING AS+ 36,949 76,300 THAI AIRWAYS INTERNATIONAL PCL+ 43,747 2,451 THALES SA 112,441 2,957 TUI AG 25,711 33,070 TURK HAVA YOLLARI ANONIM ORTAKLIGI 63,490 88,478 UAL CORPORATION+<< 551,218 25,119 VIRGIN BLUE HOLDINGS LIMITED 8,280 1,900 WESTJET AIRLINES LIMITED+ 21,104 1,011 ZODIAC SA 38,351 10,599,367 -------------- TRANSPORTATION EQUIPMENT: 2.06% 123,000 AAPICO HITECH PCL 25,135 24,199 AAR CORPORATION+ 411,625 9,000 AISIN SEIKI COMPANY LIMITED 225,363 2,600 AKEBONO BRAKE INDUSTRY COMPANY LIMITED 20,398 5,547 AMTEK AUTO LIMITED 17,717 9,293 ASHTEAD GROUP PLC 12,330 10,417 BAJAJ AUTO 259,374 8,363 BAJAJ FINSERV 47,840 1,071 BAYERISCHE MOTOREN WERKE AG 32,182 4,848 BBA AVIATION PLC 12,186 37,284 BOMBARDIER INCORPORATED CLASS B 136,228 74,657 BRUNSWICK CORPORATION 693,564 5,800 CAE INCORPORATED 46,728 Wells Fargo Advantage Master Portfolios 187 Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - --------------- ------------- -------------- TRANSPORTATION EQUIPMENT (continued) 7,000 CALSONIC KANSEI CORPORATION $ 17,378 30,174 CHINA MOTOR COMPANY LIMITED 16,638 31,335 CLARCOR INCORPORATED 1,004,600 45 CONSTRUCCIONES Y AUXILIAR DE FERROCARRILES SA 21,676 10,000 DAIHATSU MOTOR COMPANY LIMITED 102,633 23,762 DAIMLERCHRYSLER AG 1,074,083 24,100 DENSO CORPORATION 700,596 200,000 DENWAY MOTORS LIMITED 89,027 94,900 DRB-HICOM BHD 30,722 1,300 EXEDY CORPORATION 27,663 2,000 FCC COMPANY LIMITED 30,973 19,270 FIAT SPA (COMMON) 228,188 1,014 FIAT SPA (NON-CONVERTIBLE SAVINGS SHARES) 7,159 1,069 FIAT SPA (PREFERRED) 7,199 215,579 FORD MOTOR COMPANY+ 1,638,400 1,900 FUTABA INDUSTRIAL COMPANY LIMITED 7,923 43,779 GENUINE PARTS COMPANY 1,621,574 115 GEORG FISCHER AG 28,183 58,231 GKN PLC 103,519 30,581 GOODRICH CORPORATION 1,686,848 19,938 GROUP 1 AUTOMOTIVE INCORPORATED<< 561,653 899 GUD HOLDINGS LIMITED 6,763 64,100 HARLEY-DAVIDSON INCORPORATED<< 1,537,118 19,595 HARSCO CORPORATION 611,168 6,935 HERO HONDA MOTORS LIMITED 214,577 16,000 HINO MOTORS LIMITED 66,201 86,900 HONDA MOTOR COMPANY LIMITED 2,741,016 25 HONDA MOTOR COMPANY LIMITED ADR 783 34,699 HONEYWELL INTERNATIONAL INCORPORATED 1,275,535 837 HYUNDAI MIPO DOCKYARD COMPANY LIMITED 82,768 5,128 HYUNDAI MOBIS 544,089 10,881 HYUNDAI MOTOR COMPANY LIMITED 923,521 62,000 ISUZU MOTORS LIMITED 143,923 45,084 ITT CORPORATION 2,257,807 2,000 JAPAN AVIATION ELECTRONICS INDUSTRY LIMITED 12,832 28,886 JOHNSON CONTROLS INCORPORATED 715,506 9,600 JTEKT CORPORATION 123,804 1,200 KANTO AUTO WORKS LIMITED 12,316 5,000 KAYABA INDUSTRY COMPANY LIMITED 13,487 2,100 KEIHIN CORPORATION 34,891 18,360 KIA MOTORS CORPORATION 248,446 78,064 KING YUAN ELECTRONICS COMPANY LIMITED 27,866 5,000 KOITO MANUFACTURING COMPANY LIMITED 66,362 924 LINAMAR CORPORATION 10,719 21,097 LOCKHEED MARTIN CORPORATION 1,581,853 2,800 MAGNA INTERNATIONAL INCORPORATED CLASS A 126,860 10,072 MAHINDRA & MAHINDRA LIMITED 173,238 7,876 MARUTI SUZUKI INDIA LIMITED 231,925 44,000 MAZDA MOTOR CORPORATION 121,999 181,000 MITSUBISHI MOTORS CORPORATION+ 328,737 36,000 MITSUI ENGINEERING & SHIPBUILDING COMPANY LIMITED 97,883 1,003 MTU AERO ENGINES HOLDINGS 42,346 800 MUSASHI SEIMITSU INDUSTRY COMPANY LIMITED 14,521 15,739 NAVISTAR INTERNATIONAL CORPORATION+ 680,554 8,000 NGK SPARK PLUG COMPANY LIMITED 100,677 10,000 NHK SPRING COMPANY LIMITED 73,724 188 Wells Fargo Advantage Master Portfolios Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - --------------- ------------- -------------- TRANSPORTATION EQUIPMENT (continued) 1,700 NIFCO INCORPORATED $ 30,291 2,000 NIPPON SEIKI COMPANY LIMITED 23,342 6,000 NIPPON SHARYO LIMITED 39,656 6,000 NISSAN SHATAI COMPANY LIMITED 49,393 1,700 NISSIN KOGYO COMPANY LIMITED 22,143 5,400 NOK CORPORATION 73,586 2,550 NOKIAN RENKAAT OYJ 57,358 15,533 NORTHROP GRUMMAN CORPORATION 758,166 32,900 ORBITAL SCIENCES CORPORATION+ 486,591 23,600 ORIENTAL HOLDINGS BHD 36,189 72,785 OSHKOSH TRUCK CORPORATION 2,445,576 17,600 PACCAR INCORPORATED 636,592 51,131 PIRELLI & COMPANY SPA 24,483 2,248 PORSCHE AG 165,650 4,000 PRESS KOGYO COMPANY LIMITED 9,586 1,900 PROSAFE PRODUCTION PUBLIC LIMITED+ 3,978 12,700 PROTON HOLDINGS BHD 11,000 5,196 RENAULT SA 233,900 4,000 RIKEN CORPORATION 13,541 800 SAAB AB 9,300 4,000 SANDEN CORPORATION 12,080 36,757 SANYANG INDUSTRIAL COMPANY LIMITED 14,014 8,320 SCANIA AB CLASS B 102,562 36,200 SEMBCORP MARINE LIMITED 77,628 11,000 SHINMAYWA INDUSTRIES LIMITED 45,513 1,800 SHOWA CORPORATION 11,529 62,500 SINOTRUK HONG KONG LIMITED 72,496 63,650 SPIRIT AEROSYSTEMS HOLDINGS INCORPORATED+ 987,848 3,438 STX SHIPBUILDING COMPANY LIMITED 40,879 8,100 SUMITOMO RUBBER INDUSTRIES 77,736 22,200 SUZUKI MOTOR CORPORATION 529,651 700 TACHI-S COMPANY LIMITED 6,364 900 TAKATA CORPORATION 17,110 4,726 TATA MOTORS LIMITED 47,400 10,088 TATA MOTORS LIMITED ADR<< 116,920 67,400 TEXTRON INCORPORATED 1,035,264 13,600 THAI STANLEY ELECTRIC PCL 37,189 34,628 THOR INDUSTRIES INCORPORATED<< 902,059 4,538 TOFAS TURK OTOMOBIL FABRIKASI AS 11,374 3,200 TOYODA GOSEI COMPANY LIMITED 92,509 1,500 TOYOTA AUTO BODY COMPANY LIMITED 29,500 4,300 TOYOTA BOSHOKU CORPORATION 75,926 10,900 TOYOTA INDUSTRIES CORPORATION 294,025 8,500 TRANSDIGN GROUP INCORPORATED+<< 378,420 56,665 TRW AUTOMOTIVE HOLDINGS CORPORATION+<< 1,000,137 2,500 TS TECH COMPANY LIMITED 45,218 46,800 UMW HOLDINGS BHD 81,998 1,133 VALEO SA 28,847 2,854 VOLKSWAGEN AG 552,560 12,500 VOLVO AB CLASS A 107,116 28,380 VOLVO AB CLASS B 248,180 279 VOSSLOH AG 32,882 29,814 WABTEC CORPORATION 1,116,534 44,000 XINYI GLASS HOLDING COMPANY LIMITED 32,132 11,500 YAMAHA MOTOR COMPANY LIMITED 135,578 Wells Fargo Advantage Master Portfolios 189 Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - --------------- ------------- -------------- TRANSPORTATION EQUIPMENT (continued) 107,416 YANG MING MARINE TRANSPORT $ 39,975 60,929 YUE LOONG MOTOR 53,309 39,813,903 -------------- TRANSPORTATION SERVICES: 0.51% 52,464 ASCIANO GROUP 70,505 48,400 BANGKOK EXPRESSWAY PCL 26,185 138,666 BERLIAN LAJU TANKER 10,180 394 CARGOTEC CORPORATION 8,936 42,171 CH ROBINSON WORLDWIDE INCORPORATED 2,372,540 28,000 CHINA HIGH SPEED TRANSMISSION EQUIPMENT GROUP COMPANY LIMITED 60,404 4,728 CINTRA CONCESIONES DE INFRAESTRUCTURAS DE TRANSPORTE SA 41,857 77,000 COMFORTDELGRO CORPORATION LIMITED 82,827 1,187 DELEK AUTOMOTIVE SYSTEMS LIMITED 13,353 21,905 DEUTSCHE POST AG 377,938 59,579 EXPEDIA INCORPORATED+<< 1,373,296 52,956 EXPEDITORS INTERNATIONAL WASHINGTON INCORPORATED 1,729,543 11,135 FIRSTGROUP PLC 68,775 5,090 FREIGHTWAYS LIMITED 10,514 36,207 GATX CORPORATION<< 993,158 551 GLOVIS COMPANY LIMITED 45,884 462 GO-AHEAD GROUP PLC 10,191 11,000 GOODPACK LIMITED 7,367 348 HAMBURGER HAFEN UND LOGISTIK AG 14,543 47,222 HERTZ GLOBAL HOLDINGS INCORPORATED+<< 468,442 9,000 INTEGRATED DISTRIBUTION SERVICES GROUP LIMITED 13,354 13,000 KAMIGUMI COMPANY LIMITED 109,952 700 KINTETSU WORLD EXPRESS INCORPORATED 16,024 805 KONINKLIJKE VOPAK NV 51,702 556 KOREA EXPRESS COMPANY LIMITED+ 31,119 1,401 KUEHNE & NAGEL INTERNATIONAL AG 111,270 3,000 MARUZEN SHOWA UNYU COMPANY LIMITED 9,930 2,184 NATIONAL EXPRESS GROUP PLC 14,165 782 OESTERREICHISCHE POST AG 21,020 295 PANALPINA WELTTRANSPORT HOLDINGS AG 23,402 41,000 POS MALAYSIA & SERVICES HOLDINGS BHD 25,614 1,684 SBS TRANSIT LIMITED 2,080 4,000 SENKO COMPANY LIMITED 15,776 24,200 SINGAPORE AIRLINES LIMITED 215,977 50,000 SINGAPORE POST LIMITED 32,444 101,500 SINOTRANS SHIPPING LIMITED 44,395 29,000 SMRT CORPORATION LIMITED 34,214 299 SOCIETE DES AUTOROUTES PARIS-RHIN-RHONE 22,307 10,983 STAGECOACH GROUP PLC 24,102 9,613 THE GREAT EASTERN SHIPPING COMPANY LIMITED 55,817 10,910 THOMAS COOK GROUP PLC 41,045 9,682 TNT NV 238,878 1,735 TOGNUM AG 26,440 50,000 TOKYU CORPORATION 245,567 30,389 TOLL HOLDINGS LIMITED 204,708 11,600 TRANSPORT INTERNATIONAL HOLDINGS LIMITED 35,247 21,000 YAMATO HOLDINGS COMPANY LIMITED 347,555 2,000 YOKOGAWA BRIDGE HOLDINGS CORPORATION 16,357 9,816,899 -------------- 190 Wells Fargo Advantage Master Portfolios Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - --------------- ------------- -------------- UTILITY - ELECTRIC: 0.08% 31,221 KB FINANCIAL GROUP INCORPORATED+ $ 1,287,418 26,606 KSK ENERGY VENTURES LIMITED+ 113,317 22,684 RELIANCE POWER LIMITED+ 74,986 11,792 TORRENT POWER LIMITED 54,957 1,530,678 -------------- WASTE MANAGEMENT: 0.00% 1,197 BFI CANADA LIMITED 16,160 -------------- WATER TRANSPORTATION: 0.37% 17 A.P. MOLLER-MAERSK A/S 117,873 35,845 ALEXANDER & BALDWIN INCORPORATED<< 1,028,752 21,500 CARNIVAL CORPORATION 628,875 3,513 CARNIVAL PLC+ 108,775 45,650 CHINA SHIPPING CONTAINER LINES COMPANY LIMITED CLASS H 16,551 6,000 CHINESE MARITIME TRANSPORT LIMITED 15,640 43,856 CIA SUDAMERICANA DE VAPORES SA+ 33,105 227 COMPAGNIE MARITIME BELGE SA 7,046 43,000 COSCO CORPORATION SINGAPORE LIMITED 37,302 189,000 COSCO HOLDINGS 228,982 340 D S NORDEN 11,967 4,000 DAIICHI CHUO KISEN KAISHA 11,005 524 DS TORM AS 4,955 220,000 EVERGREEN MARINE CORPORATION (TAIWAN) LIMITED 133,003 30,000 EZRA HOLDINGS LIMITED 34,144 578 FORTH PORTS PLC 12,261 23,560 GENCO SHIPPING & TRADING LIMITED<< 456,357 45,241 GENERAL MARITIME CORPORATION<< 359,666 5,670 HANJIN SHIPPING COMPANY LIMITED 98,518 4,350 HYUNDAI MERCHANT MARINE COMPANY LIMITED 93,346 4,200 IINO KAIUN KAISHA LIMITED 21,801 134,600 INTERNATIONAL CONTAINER TERM SERVICES INCORPORATED 59,307 1,100 INUI STEAMSHIP COMPANY LIMITED 7,802 61,000 JAYA HOLDINGS LIMITED 19,685 30,000 KAWASAKI KISEN KAISHA LIMITED 131,865 13,408 KIRBY CORPORATION+<< 496,766 300 KOREA LINE CORPORATION 12,731 14,000 MALAYSIAN BULK CARRIERS BHD 12,324 76,200 MISC BHD 190,419 56,000 MITSUI OSK LINES LIMITED 358,087 28,000 NEPTUNE ORIENT LINES LIMITED 31,285 58,000 NIPPON YUSEN KABUSHIKI KAISHA 251,198 4,000 NISSIN CORPORATION 11,005 7,000 ORIENT OVERSEAS INTERNATIONAL LIMITED 32,876 20,583 OVERSEAS SHIPHOLDING GROUP INCORPORATED<< 728,021 69,000 PACIFIC BASIN SHIPPING LIMITED 46,027 17,127 PETRONET LNG LIMITED 25,607 2,269 PORT OF TAURANGA LIMITED 10,277 14,200 PRECIOUS SHIPPING PCL 6,931 73,800 REGIONAL CONTAINER LINES PCL+ 23,869 37,112 ROYAL CARIBBEAN CRUISES LIMITED<< 708,097 284 SCHMITT INDUSTRIES INCORPORATED 20,630 10,900 SCOMI MARINE BHD 1,733 2,000 SHINWA KAIUN KAISHA LIMITED 5,524 35,800 SINCERE NAVIGATION CORPORATION 40,785 3,000 STX PAN OCEAN COMPANY LIMITED+ 26,732 Wells Fargo Advantage Master Portfolios 191 Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - --------------- ------------- -------------- WATER TRANSPORTATION (continued) 20,000 TAIWAN NAVIGATION COMPANY LIMITED $ 32,567 10,966 TEEKAY CORPORATION 197,388 81,840 THORESEN THAI AGENCIES PCL 55,587 42,000 U-MING TRANSPORT CORPORATION 68,008 7,073,057 -------------- WHOLESALE - SPECIAL LINE: 0.00% 500 NICHIDEN CORPORATION 14,696 -------------- WHOLESALE TRADE NON-DURABLE GOODS: 0.93% 17,421 AIRGAS INCORPORATED<< 810,077 25,072 ALFA SA DE CV 109,549 1,800 ALFRESA HOLDINGS CORPORATION 81,440 18,436 BROWN-FORMAN CORPORATION CLASS B 824,458 18,200 CARDINAL HEALTH INCORPORATED 629,356 50,500 DEAN FOODS COMPANY+ 916,070 131 EMS-CHEMIE HOLDINGS AG 13,955 27,071 ENDO PHARMACEUTICALS HOLDINGS INCORPORATED+ 610,992 53,500 ESPRIT HOLDINGS LIMITED 325,468 36,524 FRESH DEL MONTE PRODUCE INCORPORATED+ 836,400 110 GALENICA AG 35,268 22,379 HENRY SCHEIN INCORPORATED+<< 1,185,639 2,500 HITACHI HIGH-TECHNOLOGIES CORPORATION 50,322 141,575 INCHCAPE PLC 63,957 172,900 IT CITY PCL 24,809 74,000 ITOCHU CORPORATION 524,879 8,439 JARDINE CYCLE & CARRIAGE LIMITED 135,872 4,379 JERONIMO MARTINS 34,157 9,390 KT&G CORPORATION 506,003 3,810 LG CHEM LIMITED 575,054 515 LG HAUSYS LIMITED+ 55,257 110,000 LI & FUNG LIMITED 365,463 5,519 MEDA AB CLASS A 46,131 32,862 MEDCO HEALTH SOLUTIONS INCORPORATED+ 1,814,640 9,800 MEDICEO PALTAC HOLDINGS COMPANY LIMITED 140,181 2,837 METRO INCORPORATED CLASS A 95,729 18,400 NIKE INCORPORATED CLASS B 1,019,176 46,190 NU SKIN ENTERPRISES INCORPORATED 796,778 24,000 PRIME SUCCESS INTERNATIONAL GROUP LIMITED 15,483 2,700 SANKYO COMPANY LIMITED 170,038 6,337 SASKATCHEWAN WHEAT POOL+ 55,801 4,000 SATORI ELECTRIC COMPANY LIMITED 28,028 21,771 SIEMENS AG 1,886,712 58,600 SOJITZ CORPORATION 125,324 630 SOS CUETARA SA 3,333 63,294 SUPERVALU INCORPORATED 908,269 30,148 SYSCO CORPORATION 768,473 2,300 TOHO PHARMACEUTICAL 34,111 22,640 TRACTOR SUPPLY COMPANY+<< 1,065,438 301,476 UNI-PRESIDENT ENTERPRISES CORPORATION 312,315 3,248 UNITED DRUG PLC 10,942 18,011,347 -------------- WHOLESALE TRADE-DURABLE GOODS: 0.79% 1,800 ABC-MART INCORPORATED 52,230 3,353 ALESCO CORPORATION LIMITED 12,129 192 Wells Fargo Advantage Master Portfolios Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - --------------- ------------- -------------- WHOLESALE TRADE-DURABLE GOODS (continued) 32,924 ARROW ELECTRONICS INCORPORATED+ $ 910,019 600 AS ONE CORPORATION 11,136 3,100 CANON MARKETING JAPAN INCORPORATED 52,139 1,781 CELESIO AG 48,486 215,000 CMC MAGNETICS CORPORATION+ 46,702 7,271 DAEWOO INTERNATIONAL CORPORATION 167,962 12,180 DIGITAL CHINA HOLDINGS LIMITED 10,325 3,500 FINNING INTERNATIONAL INCORPORATED 51,537 3,100 FUJI ELECTRONICS COMPANY LIMITED 28,018 4,800 HAKUTO COMPANY LIMITED 48,335 3,309 HALFORDS GROUP 18,181 4,310 HANWHA CHEMICAL (KOREA) CORPORATION 151,155 12,000 HANWHA CHEMICAL CORPORATION 47,329 54,301 HILL-ROM HOLDINGS INCORPORATED<< 1,112,627 2,543 HYOSUNG CORPORATION 183,868 2,200 INABA DENKI SANGYO COMPANY LIMITED 50,715 44,548 INGRAM MICRO INCORPORATED+ 746,624 38,834 INSIGHT ENTERPRISES INCORPORATED+ 445,426 2,000 ITOCHU ENEX COMPANY LIMITED 12,294 7,000 IWATANI INTERNATIONAL CORPORATION 20,763 4,000 JAPAN PULP & PAPER COMPANY LIMITED 15,003 9,000 JFE SHOJI HOLDINGS INCORPORATED 36,561 3,800 KAGA ELECTRONICS COMPANY LIMITED 45,657 12,000 KANEMATSU CORPORATION+ 11,736 3,500 KATO SANGYO COMPANY LIMITED 59,092 3,100 KURODA ELECTRIC COMPANY LIMITED 43,510 30 KYOCERA CORPORATION 2,489 1,600 LG INTERNATIONAL CORPORATION 33,501 34,728 LKQ CORPORATION+ 602,878 1,300 MACNICA INCORPORATED 22,270 11,060 MARTIN MARIETTA MATERIALS INCORPORATED 968,635 36,157 METCASH LIMITED 130,797 33 MITSUBISHI CORPORATION 1,330 84,000 MITSUI & COMPANY LIMITED 1,094,121 263 MITSUI & COMPANY LIMITED ADR 67,883 6,000 NAGASE & COMPANY LIMITED 71,639 5,800 NIDEC CORPORATION 417,002 32,522 OMNICARE INCORPORATED 744,429 25,257 OWENS & MINOR INCORPORATED 1,117,622 39,487 PEP BOYS-MANNY, MOE & JACK 352,619 38,778 PREMIER FOODS PLC 27,865 17,320 RELIANCE STEEL & ALUMINUM COMPANY 639,801 1,438 RUSSEL METALS INCORPORATED 21,503 700 RYOSHOKU LIMITED 16,400 800 RYOYO ELECTRO CORPORATION 7,007 11,841 SAMSUNG CORPORATION 530,944 1,291 STRAUSS GROUP LIMITED 15,060 988 SUMITOMO MITSUI FINANCIAL GROUP INCORPORATED 4,209 176,580 SYCAMORE NETWORKS INCORPORATED+ 536,803 7,000 TAT HONG HOLDINGS LIMITED 5,198 43,800 TECH DATA CORPORATION+ 1,668,780 2,000 TOKAI CORPORATION 10,575 2,600 TOMEN ELECTRONICS CORPORATION 28,305 1,316 TOROMONT INDUSTRIES LIMITED 26,867 3,700 TOYO CORPORATION 38,093 900 TRUSCO NAKAYAMA CORPORATION 15,098 Wells Fargo Advantage Master Portfolios 193 Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME VALUE - --------------- ------------- -------------- WHOLESALE TRADE-DURABLE GOODS (continued) 620 TRYGVESTA A/S $ 39,526 432 UNI-SELECT INCORPORATED 10,662 2,100 VALOR COMPANY LIMITED 19,251 7,525 WOLSELEY PLC 177,507 53,945 WPG HOLDINGS COMPANY LIMITED 69,651 15,080 WW GRAINGER INCORPORATED 1,319,048 2,000 YOKOHAMA REITO COMPANY 13,068 10,000 YUASA TRADING COMPANY LIMITED 10,854 15,318,849 -------------- TOTAL COMMON STOCKS (COST $1,986,233,571) 1,853,639,204 -------------- RIGHTS: 0.00% 23,332 ALAPIS (MEMBERSHIP ORGANIZATIONS)+(a) 4,683 49,425 FORTIS RIGHTS (DEPOSITORY INSTITUTIONS)(a) 0 1,119 SACI FALABELLA (GENERAL MERCHANDISE STORES)+ 365 450 STOCKMANN OYJ ABP (MISCELLANEOUS RETAIL)+ 226 2,282 TUNG HO STEEL ENTERPRISE (PRIMARY METAL INDUSTRIES)+(a) 527 TOTAL RIGHTS (COST $11,301) 5,801 -------------- EXPIRATION DATE WARRANTS: 0.00% ------------- 677 BANK SARASIN & CIE AG (DEPOSITORY INSTITUTIONS)+ 09/15/2009 703 2,479 BEACH PETROLEUM LIMITED (OIL & GAS EXTRACTION)+ 06/30/2010 44 1,583 BURU ENERGY LIMITED (OIL & GAS EXTRACTION)+ 10/10/2010 8 15,346 GOLDEN AGRI (AGRICULTURAL SERVICES)+ 07/23/2012 1,598 14,814 HKC HOLDINGS LIMITED (MEMBERSHIP ORGANIZATIONS)+ 05/26/2011 443 1,022 HONG KONG ENERGY HOLDINGS LIMITED (MEMBERSHIP ORGANIZATIONS)+ 05/13/2011 34 3,300 IJM LAND BHD (REAL ESTATE)+ 09/11/2013 698 203,875 MATAHARI PUTRA (GENERAL MERCHANDISE STORES)+ 07/12/2010 1,234 17,515 OSIM WARRANTS (MEASURING, ANALYZING & CONTROLLING INSTRUMENTS: PHOTOGRAPHIC, MEDICAL & OPTICAL GOODS)+ 06/23/2011 2,127 5,759 PYI CORPORATION (BUILDING CONSTRUCTION-GENERAL CONTRACTORS & OPERATIVE BUILDERS)+ 09/25/2009 7 321 RESOLUTE MINING LIMITED (METAL MINING)+ 12/31/2011 84 700 TAT HONG HOLDINGS LIMITED (WHOLESALE TRADE-DURABLE GOODS)+ 08/02/2013 51 16,423 UNIONE DI BANCHE ITALIANE SCPA (MEMBERSHIP ORGANIZATIONS)+ 06/30/2011 1,629 TOTAL WARRANTS (COST $1,132) 8,660 -------------- DIVIDEND RATE PREFERRED STOCKS: 0.74% --------------- 32,000 ARACRUZ CELULOSE SA CLASS B (PAPER & ALLIED PRODUCTS) 0.09% 67,406 118,750 BANCO BRADESCO SA (DEPOSITORY INSTITUTIONS) 0.01 1,924,874 157,232 BANCO ITAU HOLDING FINANCEIRA SA (DEPOSITORY INSTITUTIONS) 0.01 2,633,748 557 CASINO GUICHARD PERRACHON SA (FOOD STORES) 2.57 36,053 12,794 CIA DE BEBIDAS DAS AMERICAS (BREWERY) 0.89 954,442 27,893 CIA ENERGETICA DE MINAS GERAIS (ELECTRONIC & OTHER ELECTRICAL EQUIPMENT & COMPONENTS, EXCEPT COMPUTER EQUIPMENT) 0.76 407,736 142,930 COMPANHIA VALE DO RIO DOCE CLASS A (METAL MINING) 0.52 2,473,045 8,213 EMBOTELLADORA ANDINA SA CLASS A (FOOD & KINDRED PRODUCTS) 7.00 19,726 7,326 EMBOTELLADORA ANDINA SA CLASS B (FOOD & KINDRED PRODUCTS) 7.70 20,824 53,802 GERDAU SA (PRIMARY METAL INDUSTRIES) 0.04 633,452 5,767 MALAYSIAN AIRLINE (TRANSPORTATION BY AIR) 0.03 1,195 20,856 METALURGICA GERDAU SA (PRIMARY METAL INDUSTRIES) 0.10 305,531 217,904 PETROLEO BRASILEIRO SA (OIL & GAS EXTRACTION) 0.30 3,618,823 964 RWE AG (ELECTRIC, GAS & SANITARY SERVICES) 4.50 78,580 194 Wells Fargo Advantage Master Portfolios Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO SHARES SECURITY NAME DIVIDEND RATE VALUE - --------------- ------------- --------------- -------------- PREFERRED STOCKS (continued) 20,877 TELE NORTE LESTE PARTICIPACOES SA (COMMUNICATIONS) 2.08% $ 332,756 3,803 TELECOMUNICACOES DE SAO PAULO SA (COMMUNICATIONS) 0.96 86,989 18,590 UNIPOL (INSURANCE COMPANIES) 0.29 16,217 20,301 USINAS SIDERURGICAS DE MINAS GERAIS SA CLASS A (PRIMARY METAL INDUSTRIES) 0.19 476,638 2,593 VOLKSWAGEN AG (TRANSPORTATION EQUIPMENT) 1.99 243,375 TOTAL PREFERRED STOCKS (COST $12,741,203) 14,331,410 -------------- INTEREST RATE MATURITY DATE --------------- ------------- PREFERRED STOCKS (CONVERTIBLE): 0.00% 357 MACQUARIE AIRPORT CONVERTIBLE BOND+ 6.48% 01/01/2010 31,679 -------------- TOTAL PREFERRED STOCKS (CONVERTIBLE) (COST $29,688) 31,679 -------------- COLLATERAL FOR SECURITIES LENDING: 11.27% COLLATERAL INVESTED IN MONEY MARKET FUNDS: 1.98% 9,572,108 AIM STIT-LIQUID ASSETS PORTFOLIO 9,572,108 9,572,108 BLACKROCK LIQUIDITY FUNDS TEMPFUND PORTFOLIO 9,572,108 9,572,108 DREYFUS CASH MANAGEMENT FUND INSTITUTIONAL 9,572,108 9,572,108 DWS MONEY MARKET SERIES INSTITUTIONAL 9,572,108 38,288,432 -------------- PRINCIPAL - --------------- COLLATERAL INVESTED IN OTHER ASSETS: 9.29% $ 3,722,487 ABN AMRO BANK NV (CHICAGO) 0.26 09/18/2009 3,722,487 4,141,266 ALLIED IRISH BANKS NORTH AMERICA INCORPORATED++ 0.45 09/08/2009 4,140,896 1,994,189 ANTALIS US FUNDING CORPORATION++(p) 0.27 09/30/2009 1,993,755 1,994,189 ANTALIS US FUNDING CORPORATION++(p) 0.28 09/08/2009 1,994,081 930,622 ARABELLA FINANCE LLC++(p) 0.40 09/01/2009 930,622 398,838 ARABELLA FINANCE LLC++(p) 0.71 09/04/2009 398,814 8,109,703 BANK OF AMERICA REPURCHASE AGREEMENT - 102% COLLATERALIZED BY MORTGAGE BACKED SECURITIES (MATURITY VALUE $8,109,753) 0.22 09/01/2009 8,109,703 2,060,662 BANK OF IRELAND 0.35 09/01/2009 2,060,662 1,861,243 BANK OF IRELAND 0.60 09/04/2009 1,861,243 5,331,132 BARCLAY CAPITAL INCORPORATED REPURCHASE AGREEMENT - 102% COLLATERALIZED BY US TREASURY SECURITIES (MATURITY VALUE $5,331,165) 0.22 09/01/2009 5,331,132 4,088,088 BNP PARIBAS (PARIS) 0.19 09/01/2009 4,088,088 3,323,649 BRYANT BANK FUNDING LLC++(p) 0.25 09/02/2009 3,323,626 531,784 CALCASIEU PARISH LA+/-ss 0.50 12/01/2027 531,784 731,203 CALIFORNIA STATEWIDE COMMUNITIES DEVELOPMENT AUTHORITY+/-ss 0.45 06/01/2028 731,203 1,329,459 CALYON (NEW YORK) 0.40 09/03/2009 1,329,473 1,063,568 CALYON (NEW YORK) 3.33 09/10/2009 1,064,376 5,849,622 CANCARA ASSET SECURITIZATION LIMITED++(p) 0.30 09/08/2009 5,849,280 2,023,414 CHEYNE FINANCE LLC++(a)+/-####(i) 0.00 02/25/2008 33,386 1,557,822 CHEYNE FINANCE LLC++(a)+/-####(i) 0.00 05/19/2008 25,704 351,974 COLORADO HOUSING & FINANCE AUTHORITY+/-ss 0.50 10/01/2038 351,974 1,063,568 COOK COUNTY IL+/-SS 0.70 11/01/2030 1,063,568 10,835,095 CREDIT SUISSE FIRST BOSTON REPURCHASE AGREEMENT - 102% COLLATERALIZED BY MORTGAGE BACKED SECURITIES (MATURITY VALUE $10,835,161) 0.22 09/01/2009 10,835,095 5,417,547 CREDIT SUISSE FIRST BOSTON REPURCHASE AGREEMENT - 102% COLLATERALIZED BY MORTGAGE BACKED SECURITIES (MATURITY VALUE $5,417,582) 0.23 09/01/2009 5,417,547 Wells Fargo Advantage Master Portfolios 195 Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO PRINCIPAL SECURITY NAME INTEREST RATE MATURITY DATE VALUE - --------------- ------------- --------------- ------------- -------------- COLLATERAL INVESTED IN OTHER ASSETS (continued) $ 1,475,700 CREDIT SUISSE FIRST BOSTON REPURCHASE AGREEMENT - 102% COLLATERALIZED BY US TREASURY SECURITIES (MATURITY VALUE $1,475,708) 0.19% 09/01/2009 $ 1,475,700 4,154,561 DANSKE BANK A/S COPENHAGEN 0.22 09/02/2009 4,154,561 2,393,027 DENVER CO CITY & COUNTY SCHOOL DISTRICT+/-ss 0.80 12/15/2037 2,393,027 66,473 DEXIA BANK (GRAND CAYMAN) 0.21 09/01/2009 66,473 3,855,432 DEXIA DELAWARE LLC 0.26 09/01/2009 3,855,432 3,988,378 EKSPORTFINANS ASA++ 0.23 09/14/2009 3,988,047 3,722,487 ERASMUS CAPITAL CORPORATION++(p) 0.28 09/10/2009 3,722,226 4,098,724 GOLDMAN SACHS REPURCHASE AGREEMENT - 102% COLLATERALIZED BY MORTGAGE BACKED SECURITIES (MATURITY VALUE $4,098,749) 0.22 09/01/2009 4,098,724 1,914,422 GOTHAM FUNDING CORPORATION++(p) 0.23 09/14/2009 1,914,263 7,154,770 GRYPHON FUNDING LIMITED(a)(i) 0.00 08/23/2010 2,210,824 219,361 HENRICO COUNTY VA ECONOMIC DEVELOPMENT AUTHORITY+/-ss 0.65 11/01/2042 219,361 1,994,189 HOUSTON TX UTILITY SYSTEM+/-ss 0.30 05/15/2034 1,994,189 664,730 ILLINOIS EDUCATIONAL FACILITIES AUTHORITY REVENUES+/-ss 0.35 07/01/2029 664,730 265,892 INDIANA MUNI POWER AGENCY POWER SUPPLY SYSTEM+/-ss 0.37 01/01/2018 265,892 2,459,500 INTESA SANPAOLO SPA 0.35 09/10/2009 2,459,580 930,622 IRISH LIFE & PERMANENT PLC++ 0.54 09/04/2009 930,580 664,730 IRISH LIFE & PERMANENT PLC++ 0.54 09/08/2009 664,660 531,784 IRISH LIFE & PERMANENT PLC++ 0.58 09/01/2009 531,784 664,730 IRISH LIFE & PERMANENT PLC++ 0.58 09/03/2009 664,708 10,835,095 JPMORGAN CHASE REPURCHASE AGREEMENT - 102% COLLATERALIZED BY MORTGAGE BACKED SECURITIES (MATURITY VALUE $10,835,161) 0.22 09/01/2009 10,835,095 398,838 KANSAS CITY MO SPECIAL OBLIGATION+/-ss 0.37 04/15/2025 398,838 4,088,088 KBC BANK NV BRUSSELS 0.22 09/01/2009 4,088,088 664,730 KOCH RESOURCES LLC++ 0.22 09/15/2009 664,673 3,323,649 KOCH RESOURCES LLC++ 0.24 09/02/2009 3,323,627 1,398,060 MARKET STREET FUNDING LLC++(p) 0.22 09/22/2009 1,397,880 4,420,453 MASSACHUSETTS HEFA+/-ss 0.30 10/01/2034 4,420,453 571,668 MISSISSIPPI STATE GO+/-ss 0.65 11/01/2028 571,668 505,195 MONTGOMERY COUNTY TN PUBLIC BUILDING+/-ss 0.14 02/01/2036 505,195 10,236,838 MORGAN STANLEY REPURCHASE AGREEMENT - 102% COLLATERALIZED BY US TREASURY SECURITIES (MATURITY VALUE $10,236,895) 0.20 09/01/2009 10,236,838 531,784 NATEXIS BANQUES POPULAIRES 0.24 09/01/2009 531,784 1,395,932 NATEXIS BANQUES POPULAIRES 0.24 09/04/2009 1,395,905 1,994,189 NATIXIS++ 0.24 09/02/2009 1,994,176 265,892 NEW JERSEY STATE TURNPIKE AUTHORITY+/-ss 1.80 01/01/2018 265,892 845,536 NORTH DAKOTA HOUSING FINANCE AGENCY+/-ss 0.34 01/01/2034 845,536 308,966 RANGER FUNDING CORPORATION++(p) 0.22 09/21/2009 308,929 142,917 REGENCY MARKETS #1 LLC++(p) 0.23 09/15/2009 142,904 2,236,948 REGENCY MARKETS #1 LLC++(p) 0.25 09/17/2009 2,236,700 1,149,982 RHEIN-MAIN SECURITIZATION LIMITED++(p) 0.30 09/03/2009 1,149,963 385,543 RHEIN-MAIN SECURITIZATION LIMITED++(p) 0.40 09/10/2009 385,505 3,323,649 ROYAL BANK OF SCOTLAND CT 0.27 09/14/2009 3,323,649 3,257,176 SOCIETE GENERALE BANNON LLC 0.24 09/15/2009 3,257,176 824,265 STARBIRD FUNDING CORPORATION++(p) 0.20 09/03/2009 824,256 2,032,212 STARBIRD FUNDING CORPORATION++(p) 0.25 09/03/2009 2,032,184 3,067,728 SURREY FUNDING CORPORATION++(p) 0.24 09/23/2009 3,067,278 2,001,368 THAMES ASSET GLOBAL SECURITIZATION #1 INCORPORATED++(p) 0.26 09/10/2009 2,001,238 864,149 TICONDEROGA MASTER FUNDING LIMITED++(p) 0.23 09/24/2009 864,022 532,050 TICONDEROGA MASTER FUNDING LIMITED++(p) 0.25 09/11/2009 532,013 3,656,014 TULIP FUNDING CORPORATION++(p) 0.23 09/25/2009 3,655,453 1,196,514 TULSA COUNTY OK INDUSTRIAL AUTHORITY REVENUE+/-ss 0.16 07/01/2032 1,196,514 398,838 UBS AG (STAMFORD CT) 3.41 09/08/2009 399,083 398,838 UBS AG (STAMFORD CT) 3.46 09/03/2009 398,909 4,653,108 UNICREDITO ITALIANO (NEW YORK) 0.32 09/08/2009 4,653,108 196 Wells Fargo Advantage Master Portfolios Portfolio of Investments--August 31, 2009 (Unaudited) DIVERSIFIED STOCK PORTFOLIO PRINCIPAL SECURITY NAME INTEREST RATE MATURITY DATE VALUE - --------------- ------------- --------------- ------------- -------------- COLLATERAL INVESTED IN OTHER ASSETS(continued) $ 398,838 VERMONT STATE STUDENT ASSISTANCE CORPORATION+/-ss 0.34% 12/15/2040 $ 398,838 398,838 VERSAILLES CDS LLC++(p) 0.45 09/03/2009 398,828 265,892 VERSAILLES CDS LLC++(p) 0.45 09/04/2009 265,882 531,784 VERSAILLES CDS LLC++(p) 0.50 09/01/2009 531,784 398,838 VERSAILLES CDS LLC++(p) 0.50 09/02/2009 398,832 2,575,399 VICTORIA FINANCE LLC++(a)+/-####(i) 0.22 07/28/2008 1,184,684 1,495,533 VICTORIA FINANCE LLC++(a)+/-####(i) 0.25 08/07/2008 687,945 1,828,135 VICTORIA FINANCE LLC++(a)+/-####(i) 0.35 04/30/2008 840,942 2,966,977 VICTORIA FINANCE LLC++(a)+/-####(i) 0.36 02/15/2008 1,364,809 179,440,336 -------------- TOTAL COLLATERAL FOR SECURITIES LENDING (COST $222,545,057) 217,728,768 -------------- SHARES YIELD - --------------- --------------- SHORT-TERM INVESTMENTS: 3.24% 62,664,887 WELLS FARGO ADVANTAGE MONEY MARKET TRUST~+++ 0.22 62,664,887 -------------- TOTAL SHORT-TERM INVESTMENTS (COST $62,664,887) 62,664,887 -------------- TOTAL INVESTMENTS IN SECURITIES (COST $2,284,226,839)* 111.20% $2,148,410,409 Other Assets and Liabilities, Net (11.20) (216,419,831) ------ -------------- Total Net Assets 100.00% $1,931,990,578 ------ -------------- - ---------- + Non-income earning securities. << All or a portion of this security is on loan. (See Note 2) ++ Securities that may be resold to "qualified institutional buyers" under rule 144A or securities offered pursuant to section 4(2) of the Securities Act of 1933, as amended. (l) Long-term security of an affiliate of the fund with a cost of $7,967,461. (a) Security fair valued in accordance with the procedures approved by the Board of Trustees. +/- Variable rate investments. #### This security is currently in default with regards to scheduled interest and/or principal payments. (i) Illiquid security. ss These securities are subject to a demand feature which reduces the effective maturity. ~ This Wells Fargo Advantage Fund invests cash balances that it retains for liquidity purposes in a Wells Fargo Advantage Money Market Fund. The Wells Fargo Advantage Money Market Fund does not pay an investment advisory fee. +++ Short-Term security of an affiliate of the Fund with a cost of $62,664,887. (p) Asset-backed commercial paper. * Cost for federal income tax purposes is $2,312,057,949 and net unrealized appreciation (depreciation) consists of: Gross unrealized appreciation $ 144,654,600 Gross unrealized depreciation (308,302,140) ------------- Net unrealized depreciation $(163,647,540) The accompanying notes are an integral part of these financial statements. Wells Fargo Advantage Master Portfolios 197 Portfolio of Investments--August 31, 2009 (Unaudited) SHORT-TERM INVESTMENT PORTFOLIO PRINCIPAL SECURITY NAME INTEREST RATE MATURITY DATE VALUE - --------------- ------------- --------------- ------------- -------------- CORPORATE BONDS & NOTES: 6.54% CHEMICALS & ALLIED PRODUCTS: 0.52% $ 700,000 BASF FINANCE EUROPE NV+/-++ 0.52% 11/20/2009 $ 699,410 -------------- DOMESTIC BANKS: 1.27% 100,000 ACTS RETIREMENT LIFE COMMUNITIES INCORPORATED+/-ss 0.40 11/15/2029 100,000 500,000 BANK OF AMERICA NA+/- 0.42 02/05/2010 500,001 500,000 HSBC USA INCORPORATED+/- 0.93 10/15/2009 499,975 600,000 SEARIVER MARITIME INCORPORATED+/-ss(i) 1.43 10/01/2011 600,000 1,699,976 -------------- FINANCIAL SERVICES: 0.56% 750,000 IBM INTERNATIONAL GROUP CAPITAL LLC+/-++ 0.63 09/25/2009 750,001 -------------- FOREIGN BANKS: 3.90% 750,000 CAISSE NATIONALE DES CAISSES D'EPARGNE ET DE PREVOYANCE+/-++(a) 0.46 09/10/2009 749,925 500,000 COMMONWEALTH BANK OF AUSTRALIA+/-++ 0.80 10/02/2009 500,013 1,000,000 COMMONWEALTH BANK OF AUSTRALIA+/-++ 0.75 06/04/2010 998,882 1,400,000 RABOBANK NEDERLAND NV+/-++ 0.68 10/09/2009 1,400,102 500,000 ROYAL BANK OF CANADA+/-++ 0.64 10/15/2009 500,083 1,100,000 ROYAL BANK OF SCOTLAND PLC+/-++ 1.03 10/09/2009 1,098,726 5,247,731 -------------- SPECIAL PURPOSE ENTITY: 0.29% 100,000 GBG LLC CUSTODY RECEIPTS+/-++ss 0.50 09/01/2027 100,000 295,000 LTF REAL ESTATE VRDN I LLC+/-++ss 0.60 06/01/2033 295,000 395,000 -------------- TOTAL CORPORATE BONDS & NOTES (COST $8,795,000) 8,792,118 -------------- MUNICIPAL BONDS & NOTES: 6.37% CALIFORNIA: 1.82% 1,000,000 CALIFORNIA PCFA PCR PACIFIC GAS & ELECTRIC COMPANY (IDR LOC)+/-ss 0.14 11/01/2026 1,000,000 200,000 CALIFORNIA SERIES H (HFFA REVENUE, BANK OF AMERICA NA LOC)+/-ss 0.26 07/01/2035 200,000 300,000 CALIFORNIA SERIES J (HFFA REVENUE, BANK OF AMERICA NA LOC)+/-ss 0.26 07/01/2033 300,000 200,000 CALIFORNIA STATE DWR POWER SUPPLY SUBSERIES G6 (WATER REVENUE, FIRST SECURITY BANK LOC)+/-ss 0.35 05/01/2017 200,000 250,000 PASADENA CA COP SERIES A (LEASE REVENUE, BANK OF AMERICA NA LOC)+/-ss 0.21 02/01/2035 250,000 500,000 RIVERSIDE CA SERIES C (ELECTRIC REVENUE, BANK OF AMERICA NA LOC)+/-ss 0.23 10/01/2035 500,000 2,450,000 -------------- COLORADO: 0.74% 350,000 COLORADO HFA SINGLE TAXABLE CL I SERIES A-2 (HOUSING REVENUE, DEXIA INSURED)+/-ss 0.65 05/01/2038 350,000 250,000 COLORADO HFA TAXABLE MULTIFAMILY PROJECT B II (HOUSING REVENUE, FNMA INSURED)+/-ss 0.40 05/01/2049 250,000 400,000 DENVER CO CITY & COUNTY SCHOOL DISTRICT #1 SERIES A (LEASE REVENUE, FIRST SECURITY BANK LOC)+/-ss 0.80 12/15/2037 400,000 1,000,000 -------------- FLORIDA: 0.82% 500,000 FLORIDA MUNICIPAL POWER AGENCY ALL REQUIREMENTS SUPPLY SERIES C (ELECTRIC REVENUE, BANK OF AMERICA NA LOC)+/-ss 0.14 10/01/2035 500,000 600,000 PALM BEACH COUNTY FL PINE CREST PREPARATORY SCHOOL PROJECT (PRIVATE SCHOOL REVENUE, BANK OF AMERICA NA LOC)+/-ss 0.33 06/01/2032 600,000 1,100,000 -------------- 198 Wells Fargo Advantage Master Portfolios Portfolio of Investments--August 31, 2009 (Unaudited) SHORT-TERM INVESTMENT PORTFOLIO PRINCIPAL SECURITY NAME INTEREST RATE MATURITY DATE VALUE - --------------- ------------- --------------- ------------- -------------- MASSACHUSETTS: 0.26% $ 350,000 MASSACHUSETTS DEVELOPMENT FINANCE AGENCY BABSON COLLEGE B (OTHER REVENUE, CITIBANK NA LOC)+/-ss 0.32% 10/01/2031 $ 350,000 -------------- MINNESOTA: 0.19% 260,000 MINNESOTA STATE HFA RESIDENTIAL HOUSING SERIES T (HOUSING REVENUE, GO OF AUTHORITY INSURED)+/-ss 0.45 07/01/2048 260,000 -------------- NEW JERSEY: 0.15% 195,000 NEW JERSEY STATE HOUSING & MORTGAGE FINANCE AGENCY TAXABLE SERIES 4 (HOUSING REVENUE, DEXIA CREDIT LOCAL DE FRANCE LOC)+/-ss 1.20 11/01/2037 195,000 -------------- NEW YORK: 0.22% 300,000 NEW YORK NY CITY TRANSITIONAL FINANCING AUTHORITY CLASS A (OTHER REVENUE, FGIC INSURED)+/-ss 0.39 07/15/2036 300,000 -------------- OHIO: 0.86% 500,000 OHIO HFA RESIDENTIAL MORTGAGE SECURITIES PROGRAM (HOUSING REVENUE, GNMA INSURED)+/-ss 0.45 09/01/2029 500,000 250,000 OHIO STATE HFA RESIDENTIAL MANAGEMENT TAXABLE SERIES I (HOUSING REVENUE, GNMA INSURED)+/-ss 0.65 09/01/2039 250,000 400,000 PARMA OH COMMUNITY GENERAL HOSPITAL SERIES A (OTHER REVENUE, JPMORGAN CHASE BANK LOC)+/-ss 0.29 11/01/2029 400,000 1,150,000 -------------- TENNESSEE: 1.01% 555,000 CLARKSVILLE TN PUBLIC BUILDING AUTHORITY TENNESSEE MUNICIPAL BUILDING FUND (OTHER REVENUE, BANK OF AMERICA NA LOC)+/-ss 0.14 07/01/2034 555,000 500,000 CLARKSVILLE TN PUBLIC BUILDING AUTHORITY TENNESSEE MUNICIPAL BUILDING FUND (OTHER REVENUE, BANK OF AMERICA NA LOC)+/-ss 0.14 11/01/2035 500,000 300,000 MONTGOMERY COUNTY TN PUBLIC BUILDING AUTHORITY (OTHER REVENUE, BANK OF AMERICA NA LOC)+/-ss 0.14 02/01/2036 300,000 1,355,000 -------------- TEXAS: 0.30% 100,000 TEXAS STATE TAXABLE PRODUCT DEVELOPMENT PROGRAM SERIES A (OTHER REVENUE, NATIONS BANK NA LOC)+/-ss 0.32 06/01/2045 100,000 300,000 TYLER TX HEALTH FACILITIES DEVELOPMENT CORPORATION MOTHER FRANCES HOSPITAL SERIES B (HCFR, BANK OF AMERICA NA LOC)+/-ss 0.33 07/01/2020 300,000 400,000 -------------- TOTAL MUNICIPAL BONDS & NOTES (COST $8,560,000) 8,560,000 -------------- COMMERCIAL PAPER: 49.58% 1,000,000 AMSTEL FUNDING CORPORATION++##(p) 1.78 09/18/2009 999,159 1,000,000 AMSTEL FUNDING CORPORATION++##(p) 1.85 09/14/2009 999,332 250,000 AMSTERDAM FUNDING CORPORATION++##(p) 0.38 09/16/2009 249,960 500,000 ANTALIS US FUNDING CORPORATION++##(p) 0.25 09/24/2009 499,920 600,000 ANTALIS US FUNDING CORPORATION++##(p) 0.28 09/01/2009 600,000 500,000 ANZ NATIONAL (INTERNATIONAL) LIMITED++## 0.57 09/08/2009 499,945 500,000 ASB FINANCE LIMITED (LONDON)++## 0.68 09/25/2009 499,773 1,000,000 ASB FINANCE LIMITED (LONDON)++ 1.06 07/09/2010 999,170 500,000 ATLANTIC ASSET SECURITIZATION CORPORATION++##(p) 0.37 09/04/2009 499,985 750,000 ATLANTIC ASSET SECURITIZATION CORPORATION++##(p) 1.10 09/18/2009 749,610 500,000 ATLANTIS ONE FUNDING++##(p) 0.32 10/19/2009 499,787 500,000 ATLANTIS ONE FUNDING++##(p) 0.32 10/23/2009 499,769 1,000,000 ATLANTIS ONE FUNDING++##(p) 0.33 10/13/2009 999,615 Wells Fargo Advantage Master Portfolios 199 Portfolio of Investments--August 31, 2009 (Unaudited) SHORT-TERM INVESTMENT PORTFOLIO PRINCIPAL SECURITY NAME INTEREST RATE MATURITY DATE VALUE - --------------- ------------- --------------- ------------- -------------- COMMERCIAL PAPER (continued) $ 500,000 BANK OF AMERICA NA## 0.65% 02/16/2010 $ 498,483 500,000 BANK OF MONTREAL## 0.34 10/08/2009 499,825 500,000 BASF SE CORPORATION++## 0.55 01/14/2010 498,969 500,000 BASF SE CORPORATION++## 0.60 12/17/2009 499,108 500,000 CAFCO LLC++## 0.29 09/23/2009 499,913 1,000,000 CAFCO LLC++## 0.35 11/02/2009 999,397 500,000 CANCARA ASSET SECURITIZATION LLC++##(p) 0.47 11/10/2009 499,543 1,000,000 CANCARA ASSET SECURITIZATION LLC++##(p) 0.65 10/02/2009 999,440 1,000,000 CANCARA ASSET SECURITIZATION LLC++##(p) 0.95 12/29/2009 996,860 500,000 CHARTA LLC++##(p) 0.34 10/22/2009 499,759 500,000 CHARTA LLC++##(p) 0.37 10/22/2009 499,738 500,000 CHARTA LLC++##(p) 0.38 10/15/2009 499,768 500,000 CHARTA LLC++##(p) 0.40 10/06/2009 499,806 250,000 CIESCO LLC++##(p) 0.33 10/08/2009 249,915 500,000 CITIBANK CREDIT CARD ISSUANCE TRUST++##(p) 0.40 11/19/2009 499,561 750,000 CRC FUNDING LLC++##(p) 0.30 11/23/2009 749,481 300,000 CRC FUNDING LLC++##(p) 0.35 11/02/2009 299,819 750,000 CRC FUNDING LLC++##(p) 0.38 10/15/2009 749,652 1,000,000 CROWN POINT CAPITAL COMPANY++##(p) 0.70 10/01/2009 999,417 500,000 DANSKE CORPORATION++## 0.35 09/03/2009 499,990 1,000,000 DEXIA DELAWARE LLC## 0.26 09/01/2009 1,000,000 500,000 DNB NOR BANK ASA++## 0.75 09/09/2009 499,917 500,000 E.ON AG++## 0.67 09/21/2009 499,814 500,000 E.ON AG++## 0.67 10/01/2009 499,721 1,000,000 E.ON AG++## 0.70 09/01/2009 1,000,000 500,000 EKSPORTFINANS ASA++## 0.40 10/20/2009 499,728 750,000 EKSPORTFINANS ASA++## 1.50 09/02/2009 749,969 400,000 ENTERPRISE FUNDING LLC++##(p) 0.30 12/22/2009 399,627 500,000 ENTERPRISE FUNDING LLC++##(p) 0.31 10/05/2009 499,854 500,000 ERASMUS CAPITAL CORPORATION++##(p) 0.27 09/14/2009 499,951 1,000,000 FORTIS FUNDING LLC++## 0.25 09/14/2009 999,910 300,000 FORTIS FUNDING LLC++## 0.27 09/28/2009 299,939 500,000 GDF SUEZ++## 0.23 10/01/2009 499,904 1,000,000 GOTHAM FUNDING CORPORATION++##(p) 0.23 09/22/2009 999,866 500,000 GOTHAM FUNDING CORPORATION++##(p) 0.25 09/09/2009 499,972 1,000,000 GOVCO LLC++##(p) 0.37 10/19/2009 999,507 500,000 GOVCO LLC++##(p) 0.37 10/22/2009 499,738 300,000 GRAMPIAN FUNDING LLC++##(p) 0.54 11/24/2009 299,622 800,000 GRAMPIAN FUNDING LLC++##(p) 0.56 11/20/2009 799,004 500,000 GRAMPIAN FUNDING LLC++##(p) 0.65 10/21/2009 499,549 1,000,000 IRISH LIFE & PERMANENT++## 0.58 09/01/2009 1,000,000 250,000 LMA AMERICAS LLC++##(p) 0.26 10/21/2009 249,910 1,000,000 LMA AMERICAS LLC++##(p) 0.30 10/21/2009 999,583 1,000,000 LMA AMERICAS LLC++##(p) 0.33 10/27/2009 999,487 500,000 MARKET STREET FUNDING LLC++##(p) 0.22 09/23/2009 499,933 500,000 MARKET STREET FUNDING LLC++##(p) 0.28 11/18/2009 499,697 1,000,000 MATCHPOINT MASTER TRUST++##(p) 0.22 09/28/2009 999,835 1,000,000 METLIFE SHORT TERM FUND++## 0.90 09/17/2009 999,600 500,000 MONT BLANC CAPITAL CORPORATION++##(p) 0.24 10/07/2009 499,880 500,000 MONT BLANC CAPITAL CORPORATION++##(p) 0.29 09/08/2009 499,972 750,000 NATIONWIDE BUILDING SOCIETY++##(p) 0.37 11/27/2009 749,329 500,000 NATIONWIDE BUILDING SOCIETY++##(p) 0.37 11/30/2009 499,538 1,000,000 NATIONWIDE BUILDING SOCIETY++##(p) 0.65 09/08/2009 999,874 1,000,000 NATIXIS COMMERCIAL PAPER++## 0.24 09/02/2009 999,993 1,000,000 NATIXIS US FINANCE COMPANY## 0.24 09/01/2009 1,000,000 200 Wells Fargo Advantage Master Portfolios Portfolio of Investments--August 31, 2009 (Unaudited) SHORT-TERM INVESTMENT PORTFOLIO PRINCIPAL SECURITY NAME INTEREST RATE MATURITY DATE VALUE - --------------- ------------- --------------- ------------- -------------- COMMERCIAL PAPER (continued) $ 500,000 OLD LINE FUNDING LLC++##(p) 0.36% 09/21/2009 $ 499,900 500,000 PRUDENTIAL PLC++## 0.75 09/15/2009 499,854 500,000 RANGER FUNDING COMPANY LLC++##(p) 0.34 12/02/2009 499,566 17,000 REGENCY MARKETS # 1 LLC++##(p) 0.25 09/15/2009 16,998 650,000 RHEIN-MAIN SECURITIZATION LIMITED++##(p) 0.50 11/20/2009 649,278 1,000,000 RHEIN-MAIN SECURITIZATION LIMITED++##(p) 0.52 11/05/2009 999,061 500,000 RHEINGOLD SECURITIZATION++##(p) 0.50 11/12/2009 499,500 500,000 SANPAOLO IMI US FINANCIAL COMPANY## 0.41 10/30/2009 499,664 500,000 SANTANDER CENTRAL HISPANIC FINANCE## 0.65 12/02/2009 499,169 500,000 SCALDIS CAPITAL LLC++##(p) 0.30 09/10/2009 499,963 1,000,000 SCALDIS CAPITAL LLC++##(p) 0.30 09/15/2009 999,883 2,000,000 SOLITAIRE FUNDING LLC++##(p) 0.33 10/19/2009 1,999,120 500,000 SOLITAIRE FUNDING LLC++##(p) 0.40 11/17/2009 499,572 1,000,000 STADSHYPOTEK DELAWARE++## 0.40 09/02/2009 999,989 1,000,000 STADSHYPOTEK DELAWARE++## 0.43 09/30/2009 999,654 250,000 STRAIGHT A FUNDING LLC++##(p) 0.27 11/18/2009 249,854 500,000 STRAIGHT-A FUNDING LLC++##(p) 0.27 10/23/2009 499,805 500,000 STRAIGHT-A FUNDING LLC++##(p) 0.28 11/06/2009 499,743 258,000 STRAIGHT-A FUNDING LLC++##(p) 0.28 11/12/2009 257,856 300,000 STRAIGHT-A FUNDING LLC++##(p) 0.37 09/02/2009 299,997 250,000 SWEDBANK AB++## 0.54 12/02/2009 249,655 600,000 SWEDBANK AB++## 0.55 12/15/2009 599,038 1,000,000 SWEDBANK AB++## 0.55 12/22/2009 998,289 300,000 SWEDBANK AB++## 0.87 02/09/2010 298,833 1,000,000 THAMES ASSET GLOBAL SECURITIZATION++##(p) 0.35 10/19/2009 999,533 291,000 TULIP FUNDING CORPORATION++##(p) 0.25 09/01/2009 291,000 500,000 UBS FINANCE DELAWARE LLC## 0.62 12/30/2009 498,967 500,000 UBS FINANCE DELAWARE LLC## 0.70 09/14/2009 499,874 1,000,000 UNICREDITO ITALIANO BANK OF IRELAND++## 0.73 11/03/2009 998,723 864,678 VICTORIA FINANCE LLC+/-++####(a)(i) 4.82 01/17/2008 440,986 500,000 VICTORY RECEIVABLES CORPORATION++##(p) 0.25 09/02/2009 499,997 600,000 VICTORY RECEIVABLES CORPORATION++##(p) 0.25 09/14/2009 599,946 500,000 WESTPAC SECURITIES NZ LIMITED++## 0.30 10/06/2009 499,825 750,000 WESTPAC SECURITIES NZ LIMITED++## 0.40 09/15/2009 749,883 1,000,000 WINDMILL FUNDING CORPORATION++##(p) 0.40 10/06/2009 999,611 300,000 YORKTOWN CAPITAL LLC++## 0.28 12/16/2009 299,753 TOTAL COMMERCIAL PAPER (COST $67,093,549) 66,669,031 -------------- MEDIUM TERM NOTES: 2.42% 1,000,000 CITIGROUP FUNDING INCORPORATED+/- 0.76 10/22/2009 1,000,416 1,500,000 GENERAL ELECTRIC CAPITAL CORPORATION+/- 0.32 10/09/2009 1,499,660 750,000 ING (USA) GLOBAL FUNDING TRUST+/-(i) 1.08 10/19/2009 749,942 TOTAL MEDIUM TERM NOTES (COST $3,250,290) 3,250,018 -------------- SECURED MASTER NOTE AGREEMENT: 2.04% 1,775,000 BANK OF AMERICA SECURITIES+/-ss(a) 0.48 09/09/2034 1,775,000 964,000 CITIGROUP GLOBAL+/-++ss 0.68 09/09/2049 964,000 TOTAL SECURED MASTER NOTE AGREEMENT (COST $2,739,000) 2,739,000 -------------- Wells Fargo Advantage Master Portfolios 201 Portfolio of Investments--August 31, 2009 (Unaudited) SHORT-TERM INVESTMENT PORTFOLIO PRINCIPAL SECURITY NAME INTEREST RATE MATURITY DATE VALUE - --------------- ------------- --------------- ------------- -------------- TIME DEPOSITS: 6.69% $ 1,000,000 BANK OF IRELAND 0.35% 09/01/2009 $ 1,000,000 2,000,000 BNP PARIBAS PARIS 0.19 09/01/2009 2,000,000 1,000,000 DANSKE BANK A S COPENHAG 0.22 09/02/2009 1,000,000 2,000,000 DEXIA BANK GRAND CAYMAN 0.21 09/01/2009 2,000,000 2,000,000 KBC BANK NV BRUSSELS 0.22 09/01/2009 2,000,000 1,000,000 SOCIETE GENERALE PARIS 0.20 09/01/2009 1,000,000 TOTAL TIME DEPOSITS (COST $9,000,000) 9,000,000 -------------- CERTIFICATES OF DEPOSIT: 7.06% 550,000 BANCO BILBAO VIZCAYA ARGENTINA 0.45 10/01/2009 550,000 500,000 BANCO BILBAO VIZCAYA ARGENTINA (NEW YORK) 0.45 10/05/2009 500,005 300,000 BARCLAYS BANK PLC (NEW YORK)+/- 0.51 04/07/2010 299,968 500,000 BARCLAYS BANK PLC (NEW YORK)+/- 1.16 06/24/2010 499,471 500,000 BARCLAYS BANK PLC (NEW YORK)+/- 1.40 11/04/2009 500,062 400,000 CALYON (NEW YORK) 0.55 03/22/2010 400,112 1,000,000 CALYON (NEW YORK) 0.66 02/01/2010 1,000,000 500,000 CALYON (NEW YORK) 0.82 09/02/2009 500,000 500,000 CREDIT AGRICOLE SA 0.43 09/03/2009 500,000 1,000,000 LLOYDS TSB BANK PLC (NEW YORK)+/- 0.75 07/26/2010 998,876 1,000,000 NATIONAL BANK CANADA (NEW YORK) 0.30 11/24/2009 1,000,000 500,000 RABOBANK NEDERLAND NV (NEW YORK) 0.75 11/09/2009 500,000 500,000 ROYAL BANK OF CANADA (NEW YORK)+/- 0.90 10/01/2009 500,095 500,000 SOCIETE GENERALE (NEW YORK)+/- 0.43 04/05/2010 499,940 500,000 SVENSKA HANDELSBANKEN (NEW YORK) 0.35 09/17/2009 500,007 750,000 UNICREDITO ITALIANO (NEW YORK)+/- 0.82 10/14/2009 750,419 TOTAL CERTIFICATES OF DEPOSIT (COST $9,500,119) 9,498,955 -------------- REPURCHASE AGREEMENTS: 20.00% 6,000,000 BANK OF AMERICA NA - 102% COLLATERALIZED BY US GOVERNMENT SECURITIES (MATURITY VALUE $6,000,037) 0.22 09/01/2009 6,000,000 1,000,000 BANK OF AMERICA SECURITIES LLC - 102% COLLATERALIZED BY US GOVERNMENT SECURITIES (MATURITY VALUE $1,000,008) 0.28 09/01/2009 1,000,000 1,000,000 BARCLAYS CAPITAL INCORPORATED - 102% COLLATERALIZED BY US GOVERNMENT SECURITIES (MATURITY VALUE $1,000,009) 0.33 09/01/2009 1,000,000 3,000,000 BARCLAYS CAPITAL INCORPORATED - 102% COLLATERALIZED BY US GOVERNMENT SECURITIES (MATURITY VALUE $3,000,017) 0.20 09/01/2009 3,000,000 1,000,000 CITIGROUP GLOBAL MARKETS - 102% COLLATERALIZED BY US GOVERNMENT SECURITIES (MATURITY VALUE $1,000,008) 0.30 09/01/2009 1,000,000 6,895,635 CREDIT SUISSE FIRST BOSTON CORPORATION - 102% COLLATERALIZED BY US GOVERNMENT SECURITIES (MATURITY VALUE $6,895,677) 0.22 09/01/2009 6,895,635 1,000,000 DEUTSCHE BANK SECURITIES - 102% COLLATERALIZED BY US GOVERNMENT SECURITIES (MATURITY VALUE $1,000,007) 0.26 09/01/2009 1,000,000 6,000,000 JPMORGAN SECURITIES - 102% COLLATERALIZED BY US GOVERNMENT SECURITIES (MATURITY VALUE $6,000,037) 0.22 09/01/2009 6,000,000 1,000,000 MORGAN STANLEY & COMPANY - 102% COLLATERALIZED BY US GOVERNMENT SECURITIES (MATURITY VALUE $1,000,008) 0.31 09/01/2009 1,000,000 TOTAL REPURCHASE AGREEMENTS (COST $26,895,635) 26,895,635 -------------- TOTAL INVESTMENTS IN SECURITIES (COST $135,833,593)* 100.70% $ 135,404,757 OTHER ASSETS AND LIABILITIES, NET (0.70) (942,561) ------ -------------- TOTAL NET ASSETS 100.00% $ 134,462,196 ------ -------------- 202 Wells Fargo Advantage Master Portfolios Portfolio of Investments--August 31, 2009 (Unaudited) SHORT-TERM INVESTMENT PORTFOLIO +/- Variable rate investments. ++ Securities that may be resold to "qualified institutional buyers" under rule 144A or securities offered pursuant to section 4(2) of the Securities Act of 1933, as amended. ss These securities are subject to a demand feature which reduces the effective maturity. ## Zero coupon bond. Interest rate presented is yield to maturity. (p) Asset-backed commercial paper. #### This security is currently in default with regards to scheduled interest and/or principal payments. (a) Security fair valued in accordance with the procedures approved by the Board of Trustees. (i) Illiquid security. * Cost for federal income tax purposes is $135,833,593 and net unrealized appreciation (depreciation) consists of: Gross unrealized appreciation $ 908 Gross unrealized depreciation (429,744) --------- Net unrealized depreciation $(428,836) The accompanying notes are an integral part of these financial statements. Wells Fargo Advantage Master Portfolios 203 Statements of Assets and Liabilities--August 31, 2009 (Unaudited) Diversified Fixed Diversified Stock Short-Term Investment Income Portfolio Portfolio Portfolio ----------------- ----------------- --------------------- ASSETS Investments In securities, at value (including securities on loan) ....... $1,301,401,009 $1,861,604,044 $108,509,122 Collateral received for securities loaned (Note 2) ........... 243,536,501 217,728,768 0 In affiliates ................................................ 86,341,498 69,077,597 0 In repurchase agreements ..................................... 0 0 26,895,635 -------------- -------------- ------------ Total investments at value (see cost below) ..................... 1,631,279,008 2,148,410,409 135,404,757 -------------- -------------- ------------ Cash ............................................................ 0 0 50,000 Segregated cash ................................................. 0 4,309,000 0 Foreign currency, at value ...................................... 62,741 8,808,192 0 Foreign taxes receivable ........................................ 6,079 0 0 Receivable for investments sold ................................. 6,215,335 21,130 0 Receivables for dividends and interest .......................... 12,941,088 3,989,895 33,509 Unrealized appreciation on forward foreign currency contracts ... 2,816 0 0 -------------- -------------- ------------ Total assets ....................................................... 1,650,507,067 2,165,538,626 135,488,266 -------------- -------------- ------------ LIABILITIES Payable for daily variation margin on futures contracts ......... 0 566,650 0 Foreign taxes payable ........................................... 0 649,207 0 Payable for investments purchased ............................... 72,670,592 5,945,789 1,001,150 Payable upon receipt of securities loaned (Note 2) .............. 247,766,568 225,946,533 0 Payable to investment advisor and affiliates (Note 3) ........... 275,432 436,090 12,744 Accrued expenses and other liabilities .......................... 34,524 3,779 12,176 -------------- -------------- ------------ Total liabilities .................................................. 320,747,116 233,548,048 1,026,070 -------------- -------------- ------------ TOTAL NET ASSETS ................................................... $1,329,759,951 $1,931,990,578 $134,462,196 ============== ============== ============ Investments at cost ................................................ $1,567,522,786 $2,284,226,839 $135,833,593 -------------- -------------- ------------ Foreign currencies at cost ......................................... $ 63,144 $ 8,624,667 $ 0 -------------- -------------- ------------ Securities on loan, at value (Note 2) .............................. $ 246,266,552 $ 216,955,821 $ 0 -------------- -------------- ------------ The accompanying notes are an integral part of these financial statements. 204 Wells Fargo Advantage Master Portfolios Statements of Operations--For the Six Months Ended August 31, 2009 (Unaudited) Diversified Fixed Diversified Stock Short-Term Investment Income Portfolio Portfolio Portfolio ----------------- ----------------- --------------------- INVESTMENT INCOME Dividends(1) ................................................... $ 0 $ 19,468,039 $ 0 Interest ....................................................... 21,917,330 0 359,426 Income from affiliated securities .............................. 314,635 73,452 0 Securities lending income ...................................... 216,954 624,157 0 ------------ ------------- --------- Total investment income ........................................... 22,448,919 20,165,648 359,426 ------------ ------------- --------- EXPENSES Advisory fees .................................................. 1,640,285 2,649,390 55,106 Custody fees ................................................... 220,667 543,641 11,021 Accounting fees ................................................ 24,651 32,909 11,259 Professional fees .............................................. 26,948 28,310 21,707 Registration fees .............................................. 9,675 16,970 1,422 Shareholder reports ............................................ 2,801 5,220 872 Trustees' fees ................................................. 5,289 5,289 5,289 Other fees and expenses ........................................ 8,213 29,015 1,743 ------------ ------------- --------- Total expenses .................................................... 1,938,529 3,310,744 108,419 ------------ ------------- --------- LESS Waived fees and reimbursed expenses (Note 3) ................... (160,671) (489,134) (2,376) Net expenses ................................................... 1,777,858 2,821,610 106,043 ------------ ------------- --------- Net investment income (loss) ...................................... 20,671,061 17,344,038 253,383 ------------ ------------- --------- REALIZED AND UNREALIZED GAIN (LOSS) ON INVESTMENTS NET REALIZED GAIN (LOSS) FROM Securities, foreign currencies and foreign currency translation ................................................. 278,572 (126,716,357) 1,481 Collateral received for securities loaned ...................... 0 (565,694) 0 Futures transactions ........................................... 0 6,733,470 0 Affiliated securities .......................................... 0 (427,203) 0 ------------ ------------- --------- Net realized gain and loss from investments ....................... 278,572 (120,975,784) 1,481 ------------ ------------- --------- NET CHANGE IN UNREALIZED APPRECIATION (DEPRECIATION) OF Securities, foreign currencies and foreign currency translation ................................................. 61,612,974 731,641,253 51,253 Collateral received for securities loaned ...................... (101,187) (220,491) 0 Forward foreign currency contracts ............................. 215,576 (9,386) 0 Futures transactions ........................................... 0 1,424,300 0 ------------ ------------- --------- Net change in unrealized appreciation (depreciation) of investments .................................................... 61,727,363 732,835,676 51,253 ------------ ------------- --------- Net realized and unrealized gain on investments ................... 62,005,935 611,859,892 52,734 ------------ ------------- --------- NET INCREASE IN NET ASSETS RESULTING FROM OPERATIONS .............. $ 82,676,996 $ 629,203,930 $ 306,117 ------------ ------------- --------- (1.) Net of foreign withholding taxes of .......................... $ 0 $ 1,049,732 $ 0 ============ ============= ========= The accompanying notes are an integral part of these financial statements. THIS PAGE IS INTENTIONALLY LEFT BLANK. 206 Wells Fargo Advantage Master Portfolios Statements of Changes in Net Assets DIVERSIFIED FIXED INCOME PORTFOLIO ------------------------------------ For the Six Months Ended For the August 31, 2009 Year Ended (Unaudited) February 28, 2009 ---------------- ----------------- INCREASE (DECREASE) IN NET ASSETS Beginning net assets ....................................................... $ 919,283,899 $ 747,540,015 OPERATIONS Net investment income ...................................................... 20,671,061 36,176,148 Net realized gain (loss) on investments .................................... 278,572 1,789,986 Net change in unrealized appreciation (depreciation) of investments ........ 61,727,363 (35,911,700) -------------- ------------- Net increase (decrease) in net assets resulting from operations ............... 82,676,996 2,054,434 -------------- ------------- CAPITAL SHARES TRANSACTIONS TRANSACTIONS IN INVESTORS' BENEFICIAL INTERESTS Contributions .............................................................. 363,254,836 393,316,244 Withdrawals ................................................................ (35,455,780) (223,626,794) -------------- ------------- Net increase (decrease) from transactions in investors' beneficial interests .. 327,799,056 169,689,450 -------------- ------------- NET INCREASE (DECREASE) IN NET ASSETS ......................................... 410,476,052 171,743,884 -------------- ------------- ENDING NET ASSETS ............................................................. $1,329,759,951 $ 919,283,899 ============== ============= The accompanying notes are an integral part of these financial statements. Wells Fargo Advantage Master Portfolios 207 Statements of Changes in Net Assets DIVERSIFIED STOCK PORTFOLIO SHORT-TERM INVESTMENT PORTFOLIO - ------------------------------------ ------------------------------------ For the For the Six Months Ended For the Six Months Ended For the August 31, 2009 Year Ended August 31, 2009 Year Ended (Unaudited) February 28, 2009 (Unaudited) February 28, 2009 - ---------------- ----------------- ---------------- ----------------- $1,113,789,546 $1,472,810,890 $ 92,312,693 $124,923,826 17,344,038 29,233,113 253,383 2,814,186 (120,975,784) (16,856,219) 1,481 (4,661) 732,835,676 (842,184,297) 51,253 (371,694) -------------- -------------- ------------ ------------ 629,203,930 (829,807,403) 306,117 2,437,831 -------------- -------------- ------------ ------------ 385,675,857 693,000,297 48,108,678 61,740,164 (196,678,755) (222,214,238) (6,265,292) (96,789,128) -------------- -------------- ------------ ------------ 188,997,102 470,786,059 41,843,386 (35,048,964) -------------- -------------- ------------ ------------ 818,201,032 (359,021,344) 42,149,503 (32,611,133) ============== ============== ============ ============ $1,931,990,578 $1,113,789,546 $134,462,196 $ 92,312,693 ============== ============== ============ ============ 208 Wells Fargo Advantage Master Portfolios Financial Highlights Ratio to Average Net Assets (Annualized)(1) ------------------------------------------------ Portfolio Net Investment Gross Expenses Net Total Turnover Income (Loss) Expenses Waived Expenses Return(2) Rate(4) -------------- -------- -------- -------- --------- --------- DIVERSIFIED FIXED INCOME PORTFOLIO March 1, 2009 to August 31, 2009 (Unaudited) .. 3.75% 0.35% (0.02)% 0.33% 7.61% 27% March 1, 2008 to February 28, 2009 ............ 4.18% 0.35% 0.00%(5) 0.35% 0.00% 51% March 1, 2007 to February 29, 2008 ............ 4.54% 0.35% 0.00%(5) 0.35% 9.56% 84% June 26, 2006(3) to February 28, 2007 ......... 4.52% 0.37% (0.01)% 0.36% 6.70% 165% DIVERSIFIED STOCK PORTFOLIO March 1, 2009 to August 31, 2009 (Unaudited) .. 2.23% 0.43% (0.08)% 0.35% 52.61% 14% March 1, 2008 to February 28, 2009 ............ 2.02% 0.43% (0.01)% 0.42% (46.36)% 29% March 1, 2007 to February 29, 2008 ............ 1.66% 0.43% 0.00%(5) 0.43% (2.23)% 29% June 26, 2006(3) to February 28, 2007 ......... 1.25% 0.44% (0.01)% 0.43% 16.12% 87% SHORT-TERM INVESTMENT PORTFOLIO March 1, 2009 to August 31, 2009 (Unaudited) .. 0.46% 0.20% (0.01)% 0.19% 0.91% NA March 1, 2008 to February 28, 2009 ............ 2.32% 0.19% (0.01)% 0.18% 0.92% NA March 1, 2007 to February 29, 2008 ............ 4.99% 0.17% (0.01)% 0.16% 4.81% NA June 26, 2006(3) to February 28, 2007 ......... 5.21% 0.18% (0.01)% 0.17% 4.00% NA - ---------- (1.) During each period, various fees and expenses were waived and reimbursed, as indicated. The ratio of Gross Expenses to Average Net Assets reflects the expense ratio in the absence of any waivers and reimbursements (Note 3). (2.) Total return calculations do not include any sales charges, and would have been lower had certain expenses not been waived or reimbursed during the periods shown. Returns for periods less than one year are not annualized. (3.) Commencement of operations. (4.) Portfolio turnover rates presented for periods of less than one year are not annualized. (5.) Amount calculated is less than .005%. The accompanying notes are an integral part of these financial statements. Wells Fargo Advantage Master Portfolios 209 Notes to Financial Statements 1. ORGANIZATION Wells Fargo Master Trust (the "Trust") is registered as an open-end management investment company under the Investment Company Act of 1940, as amended (the "1940 Act"). The Trust currently has 23 separate investment portfolios. These financial statements are for three of those portfolios as follows: the Diversified Fixed Income Portfolio, Diversified Stock Portfolio and Short-Term Investment Portfolio (each, a "Fund" and collectively, the "Funds"). Interests in the Funds are sold without any sales charge in private placement transactions to qualified investors, including open-end management investment companies. 2. SIGNIFICANT ACCOUNTING POLICIES The following significant accounting policies, which are consistently followed in the preparation of the financial statements of the Trust, are in conformity with U.S. Generally Accepted Accounting Principles ("GAAP") for investment companies. The preparation of financial statements in conformity with GAAP requires management to make estimates and assumptions that affect the reported amounts of assets and liabilities, disclosure of contingent assets and liabilities at the date of the financial statements, and the reported amounts of revenues and expenses during the reporting period. Actual results could differ from those estimates. Management has considered the circumstances under which the Funds should recognize or make disclosures regarding events or transactions occurring subsequent to the balance sheet date through August 24, 2009 which represents the date the financial statements are issued. Adjustments or additional disclosures, if any, have been included in these financial statements. Under the Trust's organizational documents, their officers and directors are indemnified against certain liabilities that may arise out of performance of their duties to the Trust. Additionally, in the normal course of business, the Trust may enter into contracts with service providers that contain a variety of indemnification clauses. The Trust's maximum exposure under these arrangements is dependent on future claims that may be made against the Funds and, therefore, cannot be estimated; however, based on experience, the risk of loss from such claims is considered remote. SECURITIES VALUATION Investments in securities are valued each business day as of the close of regular trading on the New York Stock Exchange, which is usually 4:00 p.m. (Eastern Time). Securities which are traded on a national or foreign securities exchange are valued at the last reported sales price. Securities listed on The NASDAQ Stock Market, Inc. ("NASDAQ") are valued at the NASDAQ Official Closing Price ("NOCP"), and if no NOCP is available, then at the last reported sales price. If no sales price is shown on the NASDAQ, the bid price will be used. In the absence of any sale of securities listed on the NASDAQ, and in the case of other securities, including U.S. Government obligations, but excluding debt securities maturing in 60 days or less, the price will be deemed "stale" and the valuations will be determined in accordance with the Funds' Fair Valuation Procedures. Debt securities of sufficient credit quality with original maturities of 60 days or less and other short-term debt securities in which cash collateral received for securities loaned may be invested, generally are valued at amortized cost. The amortized cost method involves valuing a security at its cost, plus accretion of discount or minus amortization of premium over the period until maturity, which approximates fair value. Investments in open-end mutual funds are valued at net asset value. Short-Term Investment Portfolio invests only in securities with remaining maturities not exceeding 397 days (13 months). Certain floating- and variable-rate instruments in the portfolio may have maturities in excess of 397 days provided that these variable rate instruments are either Government Securities or carry a demand feature that permits the holder to tender the instruments back to the issuer at par value prior to maturity. Investments which are not valued using any of the methods discussed above are valued at their fair value as determined by procedures approved by the Board of Trustees. The valuation techniques used by the Funds to measure fair value are consistent with the market approach, income approach and/or cost approach, where applicable, for each security type. 210 Wells Fargo Advantage Master Portfolios Notes to Financial Statements FAIR VALUATION MEASUREMENTS In accordance with Financial Accounting Standards No. 157, FAIR VALUE MEASUREMENTS ("FAS 157"), fair value is defined as the price that a Fund would receive upon selling an investment in a timely transaction to an independent buyer in the principal or most advantageous market of the investment. FAS 157 established a three-tier hierarchy to maximize the use of observable market data and minimize the use of unobservable inputs and to establish classification of fair value measurements for disclosure purposes. Inputs refer broadly to the assumptions that market participants would use in pricing the asset or liability, including assumptions about risk. Inputs may be observable or unobservable. Observable inputs are inputs that reflect the assumptions market participants would use in pricing the asset or liability developed based on market data obtained from sources independent of the reporting entity. Unobservable inputs are inputs that reflect the reporting entity's own assumptions regarding the assumptions market participants would use in pricing the asset or liability, based on the best information available in the circumstances. The three-tier hierarchy of inputs is summarized in the three broad Levels listed below. - - Level 1 - quoted prices in active markets for identical investments - - Level 2 - other significant observable inputs (including quoted prices for similar investments, interest rates, prepayment speeds, credit risk, etc.) - - Level 3 - significant unobservable inputs (including the Fund's own assumptions in determining the fair value of investments) The inputs or methodologies used for valuing securities are not necessarily an indication of the risk associated with investing in these securities. The following is a summary of the inputs used as of August 31, 2009 in valuing the Funds' investments in securities: Significant Other Significant Quoted Prices Observable Inputs Unobservable Inputs Total Fair Value INVESTMENTS IN SECURITIES* Level 1 Level 2 Level 3 as of 8/31/2009 - -------------------------- -------------- ----------------- ------------------- ---------------- DIVERSIFIED FIXED INCOME PORTFOLIO Corporate debt securities $ 0 $ 459,597,644 $3,738,101 $ 463,335,745 Debt securities issued by foreign governments 0 327,925,576 0 327,925,576 Debt securities issued by states in the U.S. and its political subdivisions 0 252,720,804 0 252,720,804 Mortgage-backed securities 0 412,840,251 0 412,840,251 Registered investment companies 123,409,747 0 0 123,409,747 Short-term investments 0 51,046,885 0 51,046,885 TOTAL $ 123,409,747 $1,504,131,160 $3,738,101 $1,631,279,008 DIVERSIFIED STOCK PORTFOLIO Equity securities Common stocks $1,852,787,050 $ 0 $ 883,833 $1,853,670,883 Mutual fund shares 100,953,319 0 0 100,953,319 Preferred stock 14,331,410 0 0 14,331,410 Rights 591 0 5,210 5,801 Warrants 8,660 0 0 8,660 Corporate debt securities 0 99,933,546 6,348,294 106,281,840 Debt securities issued by states in the U.S. and its political subdivisions 0 16,818,662 0 16,818,662 Short-term investments 0 56,339,834 0 56,339,834 TOTAL $1,968,081,030 $ 173,092,042 $7,237,337 $2,148,410,409 Wells Fargo Advantage Master Portfolios 211 Notes to Financial Statements Significant Other Significant Quoted Prices Observable Inputs Unobservable Inputs Total Fair Value INVESTMENTS IN SECURITIES* Level 1 Level 2 Level 3 as of 8/31/2009 - -------------------------- -------------- ----------------- ------------------- ---------------- SHORT-TERM INVESTMENT PORTFOLIO Corporate debt securities $ 0 $ 78,484,256 $2,965,911 $ 81,450,167 Debt securities issued by states in the U.S. and its political subdivisions 0 8,560,000 0 8,560,000 Other 0 18,498,955 0 18,498,955 Repurchase agreements 0 26,895,635 0 26,895,635 TOTAL $ 0 $ 132,438,846 $2,965,911 $ 135,404,757 * Further details on the major security types listed above for each fund can be found in the Portfolio of Investments. The following is a summary of the inputs used as of August 31, 2009 in valuing the Funds' investments in other financial instruments:* Total Unrealized Appreciation/ MASTER PORTFOLIOS Level 1 Level 2 Level 3 (Depreciation) - ----------------- ---------- ------- ------- ---------------- DIVERSIFIED FIXED INCOME PORTFOLIO $ 2,816 $0 $0 $ 2,816 DIVERSIFIED STOCK PORTFOLIO 1,104,968 0 0 1,104,968 * Other financial instruments include: futures, and sale commitments. The following is a reconciliation of investments in which significant unobservable inputs (Level 3) were used in determining value: Short-term Diversified Fixed Diversified Investment Income Portfolio Stock Portfolio Portfolio ----------------- --------------- ----------- BALANCE AS OF 02/28/2009 $4,489,374 $11,425,032 $ 6,175,727 EQUITY SECURITIES Common stocks Accrued discounts (premiums) 0 0 0 Realized gain (loss) 0 (16,704) 0 Change in unrealized appreciation (depreciation) 0 347,887 0 Net purchases (sales) 0 0 0 Transfer in (out) of Level 3 0 (99,377) 0 RIGHTS Accrued discounts (premiums) 0 0 0 Realized gain (loss) 0 0 0 Change in unrealized appreciation (depreciation) 0 0 0 Net purchases (sales) 0 5,211 0 Transfer in (out) of Level 3 0 0 0 CORPORATE DEBT SECURITIES Accrued discounts (premiums) 0 0 0 Realized gain (loss) 0 (565,694) 22,406 Change in unrealized appreciation (depreciation) (50,432) (220,491) (7,222) Net purchases (sales) (700,841) (3,638,527) (4,684,000) Transfer in (out) of Level 3 0 0 1,459,000 BALANCE AS OF 08/31/2009 $3,738,101 $ 7,237,337 $ 2,965,911 212 Wells Fargo Advantage Master Portfolios Notes to Financial Statements Diversified Fixed Diversified Investment Income Portfolio Stock Portfolio Portfolio ----------------- --------------- ----------- Change in unrealized appreciation (depreciation) relating to securities held at the end of reporting period $ (50,432) $ 380,987 $ (7,222) SECURITY TRANSACTIONS AND INCOME RECOGNITION Securities transactions are recorded on a trade date basis. Realized gains or losses are reported on the basis of identified cost of securities delivered. Interest income is accrued daily and bond discounts are accreted and premiums are amortized daily based on the effective interest method. To the extent debt obligations are placed on non-accrual status, any related interest income may be reduced by writing off interest receivables when the collection of all or a portion of interest has become doubtful based on consistently applied procedures. If the issuer subsequently resumes interest payments or when the collectability of interest is reasonably assured, the debt obligation is removed from non-accrual status. Dividend income is recognized on the ex-dividend date, except for certain dividends from foreign securities, which are recorded as soon as the Fund is informed of the ex-dividend date. Dividend income from foreign securities is recorded net of foreign taxes withheld where recovery of such taxes is not assured. FOREIGN CURRENCY TRANSLATION The accounting records are maintained in U.S. dollars. Assets, including investment securities, and liabilities denominated in foreign currency are translated into U.S. dollars at the prevailing rates of exchange at the date of valuation. Purchases and sales of securities, and income and expenses are translated at the prevailing rate of exchange on the respective dates of such transactions. Reported net realized foreign exchange gains or losses arise from sales of foreign currencies, currency gains or losses realized between the trade and settlement dates on securities transactions, and the difference between the amounts of dividends, interest and foreign withholding taxes recorded and the U.S. dollar equivalent of the amounts actually paid or received. Net unrealized foreign exchange gains and losses arise from changes in the fair value of assets and liabilities other than investments in securities, at fiscal period-end, resulting from changes in exchange rates. The changes in net assets arising from changes in exchange rates and the changes in net assets resulting from changes in market prices of securities at fiscal period-end are not separately presented. Such changes are recorded with net realized and unrealized gain from investments. Gains and losses from certain foreign currency transactions are treated as ordinary income for U.S. federal income tax purposes. FEDERAL INCOME TAXES Each Fund of the Trust is treated as a separate entity for U.S. federal income tax purposes. The Funds of the Trust are not required to pay U.S. federal income taxes on their net investment income and net capital gain as they are treated as partnerships for U.S. federal income tax purposes. All interest, dividends, gains and losses of a Fund are deemed to have been "passed through" to the interestholders in proportion to their holdings of the Fund regardless of whether such interest, dividends, or gains have been distributed by the Fund. Management has analyzed the Funds' tax positions taken on federal income tax returns for all open tax years and has concluded that as of August 31, 2009, no provision for income tax would be required in the Funds' financial statements. The Funds' federal and state income and federal excise tax returns for tax years for which the applicable statutes of limitations have not expired (open tax years: February 28, 2007; February 29, 2008; February 28, 2009) are subject to examination by the Internal Revenue Service and state departments of revenue. FORWARD FOREIGN CURRENCY CONTRACTS The Funds may enter into forward foreign currency contracts to protect against a possible loss resulting from an adverse change in the relationship between foreign currencies and the U.S. dollar, or between foreign currencies. A forward contract is an agreement between two counterparties for future delivery or receipt of currency at a specified price. Risks arise from the possible inability of counterparties to meet the terms of their contracts and from movements in currency values. Realized gains or losses are recognized when the transaction is completed. Contracts which have been offset but have not reached their settlement date are included in unrealized gains and losses. Wells Fargo Advantage Master Portfolios 213 Notes to Financial Statements As of August 31, 2009, outstanding forward contracts were as follows: Net Unrealized Currency Amount Type of Currency Amount Appreciation PORTFOLIO to be Received Currency Settlement Date to be Delivered (Depreciation) - --------- --------------- ----------------- --------------- --------------- -------------- DIVERSIFIED FIXED INCOME PORTFOLIO 125,000 Australian Dollar 12/4/2009 105,123 528 50,000 Canadian Dollar 12/4/2009 45,905 (233) 300,000 Danish Krone 12/4/2009 57,715 66 1,150,000 Euro 12/4/2009 1,649,386 (735) (1,500,000) Euro 12/4/2009 (2,148,375) (2,039) 450,000 British Pound 12/4/2009 733,487 (909) 130,000,000 Japanese Yen 12/4/2009 1,390,596 6,502 500,000 Swedish Krona 12/4/2009 70,604 (364) FUTURES CONTRACTS Certain Funds are subject to interest rate risk in the normal course of pursuing its investment objectives. The Funds may buy and sell futures contracts in order to gain exposure to, or protect against changes in, security values and interest rates. The primary risks associated with the use of futures contracts are the imperfect correlation between changes in market values of securities held by the Funds and the prices of futures contracts, and the possibility of an illiquid market. Futures contracts are valued based upon their quoted daily settlement prices. The aggregate principal amounts of the contracts are not recorded in the financial statements. Fluctuations in the value of the contracts are recorded in the Statement of Assets and Liabilities as an asset or liability and in the Statement of Operations as unrealized gains or losses until the contracts are closed, at which point they are recorded as net realized gains or losses on futures contracts. With futures contracts, there is minimal counterparty risks to the Funds since futures are exchange traded and the exchange's clearinghouse, as counterparty to all exchange traded futures, guarantees the futures against default. At August 31, 2009, the Diversified Stock Portfolio had long futures contracts outstanding as follows: Notional Net Unrealized Contract Appreciation PORTFOLIO Contracts Type Expiration Date Amount (Depreciation) - --------- --------- ----------------- --------------- ----------- -------------- DIVERSIFIED STOCK PORTFOLIO 273 Long MidCap 400 FUTURE September 2009 $17,434,215 $ 419,985 301 Long Russell 2000 MINI September 2009 16,932,318 275,852 326 Long S&P 500 EMINI September 2009 16,211,979 409,131 $50,578,512 $1,104,968 On August 31, 2009, the cumulative appreciation on futures contracts is $1,104,968 as shown in the table above. The payable for daily variation margin on open futures contract only represents the current day's variation margin. The realized gains and change in unrealized gains on futures contracts are reflected in the Statement of Operations. Diversifed Stock Portfolio had an average contract amount of $37,240,605 in futures contracts during the six-month period ended August 31, 2009. REPURCHASE AGREEMENTS The Funds may invest in repurchase agreements and may participate in pooled repurchase agreement transactions with other funds advised by Wells Fargo Funds Management, LLC. The repurchase agreements must be fully collateralized based on values that are marked to market daily. The collateral may be held by an agent bank under a tri-party agreement. It is the custodian's responsibility to value collateral daily and to take action to obtain additional collateral as necessary to maintain market value equal to or greater than the resale price. The repurchase agreements are collateralized by instruments such as U.S. Treasury, federal agency, or high-grade corporate obligations. There could be potential loss to a Fund in the event that such Fund is delayed or prevented from exercising its rights to dispose of the collateral, including the risk of a possible decline in the value of the underlying obligations during the period in which a Fund seeks to assert its rights. Repurchase agreements outstanding at six-month period ended August 31, 2009 are listed in the Funds' Portfolio of Investments. SECURITY LOANS The Funds may loan securities in return for securities, irrevocable letters of credit or cash collateral, which is invested in various short-term fixed income securities. A Fund may receive compensation for lending securities in the form of fees payable by the borrower or by retaining a portion of interest on the investment securities purchased with cash received 214 Wells Fargo Advantage Master Portfolios Notes to Financial Statements as collateral (after payment of a "broker rebate fee" to the borrower). A Fund also continues to receive interest or dividends on the securities loaned. Security loans are secured at all times by collateral, although the loans may not be fully supported at all times if, for example, the instruments in which cash collateral is invested decline in value or the borrower fails to provide additional collateral when required in a timely manner or at all. The collateral is equal to at least 102% of the market value of the securities loaned plus accrued interest when the transaction is entered into. The collateral supporting loans of domestic and foreign equity securities and corporate bonds is remarked to at least 102% of the marked value of the securities loaned (including any accrued interest) on a daily basis, without taking into account any increase or decrease in the value of instruments in which cash collateral is invested. Collateral supporting loans of U.S. Government Securities is remarked to 102% of the loaned securities' market value, without taking into account any increase or decrease in the value of instruments in which cash collateral is invested, only if the given collateral falls below 100% of the market value of the securities loaned plus any accrued interest. Cash collateral received by a Fund pursuant to these loans generally is invested on behalf of the Fund by the securities lending agent in securities that, at the time of investment, are considered high-quality short-term debt investments (including money market instruments) and have been evaluated and approved by the Fund's adviser and are permissible investments for the Fund. Cash collateral is invested on behalf of a Fund in a manner similar to the Fund's investment of its cash reserves and the Fund bears all of the gains and losses on such investments. The net asset value of a Fund will be affected by an increase or decrease in the value of the securities loaned and by an increase or decrease in the value of instruments in which cash collateral is invested. Another risk from securities lending is that the borrower may not provide additional collateral when required or return the securities when due or when called for by the Fund. In either case, a Fund could experience delays in recovering securities or collateral or could lose all or part of the value of the loaned securities. Wells Fargo Bank, N.A., the Funds' custodian, acts as the securities lending agent for the Funds and receives for its services 25% of the revenues earned on the securities lending activities and incurs all expenses. The securities lending agent may make payments to borrowers and placing brokers, who may not be affiliated, directly or indirectly, with the Trust, the adviser or the distributor. For the six-month period, ended August 31, 2009 Wells Fargo Bank, N.A. waived its share of revenues earned on securities lending activities. Such waivers by Wells Fargo Bank, N.A. have the impact of increasing securities lending income on the Statements of Operations. The value of the securities on loan, the related collateral and the liability to return the collateral at August 31, 2009, are shown on the Statements of Assets and Liabilities. STRUCTURED INVESTMENT VEHICLES The Portfolios may invest in structured debt securities, such as those issued by Structured Investment Vehicles, or "SIVs". SIVs invest in a diversified pool of underlying securities, which may include finance company debt and structured finance assets, residential mortgage-backed securities, commercial mortgage-backed securities, collateralized loan obligations, collateralized debt obligations and other asset backed securities. The ability of a SIV to repay debt depends primarily on the cash collections received from the SIV's underlying asset portfolio, which may include certain assets such as subprime mortgages that are subject to heightened risks of credit quality or market value deterioration under the continuing adverse conditions in the U.S. credit markets, and on the ability to obtain short-term funding through the issuance of new debt. Investments in these securities present increased credit and liquidity risks as there could be losses to a Fund in the event of credit or market value deterioration in a SIV's underlying portfolio, mismatches in the timing of the cash flows of the underlying asset interests and the repayment obligations of maturing securities issued by a SIV, or a SIV's inability to issue new debt. As of August 31, 2009, the following funds owned certain of these types of structured securities which are currently in default and valued at fair value in the Portfolio of Investments or have been restructured following default, including the percentage of each Fund's net assets invested in these securities: PORTFOLIO Defaulted SIVs ($MV) % of Net Assets - --------- -------------------- --------------- Diversified Fixed Income Portfolio $2,804,310 0.21 Diversified Stock Portfolio 4,137,470 0.21 Short-Term Investment Portfolio 440,986 0.33 Wells Fargo Advantage Master Portfolios 215 Notes to Financial Statements 3. EXPENSES ADVISORY FEES The Trust has entered into an advisory contract with Wells Fargo Funds Management, LLC ("Funds Management"). The adviser is responsible for implementing investment policies and guidelines and for supervising the sub-adviser, who is responsible for day-to-day portfolio management. Pursuant to the contract, Funds Management is entitled to receive an advisory fee for its services as adviser. Funds Management may retain the services of certain investment subadvisers to provide daily portfolio management. The fees related to subadvisory services are borne directly by the adviser and do not increase the overall fees paid by a Fund to the adviser. Funds Management and the investment subadviser(s) are entitled to be paid a monthly fee at the following annual rates: Advisory Subadvisory Fees (% of Fees (% of Average Daily Average Daily Average Daily Average Daily PORTFOLIO Net Assets Net Assets) Subadviser Net Assets Net Assets) - --------- ---------------- ------------- ------------- ---------------- ------------- DIVERSIFIED FIXED INCOME PORTFOLIO First $1 billion 0.300 SSgA Funds First $1 billion 0.100 Next $4 billion 0.275 Management Over $1 billion 0.080 Over $5 billion 0.250 Incorporated DIVERSIFIED STOCK PORTFOLIO First $1 billion 0.350 SSgA Funds First $1 billion 0.100 Next $4 billion 0.325 Management Over $1 billion 0.080 Over $5 billion 0.300 Incorporated SHORT-TERM INVESTMENT PORTFOLIO All asset levels 0.100 Wells Capital First $1 billion 0.050 Management Next $2 billion 0.030 Incorporated Next $3 billion 0.020 Over $6 billion 0.010 ADMINISTRATION AND TRANSFER AGENT FEES Currently, there are no administration or transfer agency fees charged to the Master Trust. CUSTODY FEES The Trust has entered into a contract with Wells Fargo Bank, N.A. ("WFB"), whereby WFB is responsible for providing custody services. Pursuant to the contract, WFB is entitled to a monthly fee for custody services at the following rates: % of Average PORTFOLIO Daily Net Assets - --------- ---------------- DIVERSIFIED FIXED INCOME PORTFOLIO 0.04 DIVERSIFIED STOCK PORTFOLIO 0.07 SHORT-TERM INVESTMENT PORTFOLIO 0.02 WAIVED FEES AND REIMBURSED EXPENSES All amounts shown as waived fees or reimbursed expenses on the Statements of Operations, for the six-month period ended August 31, 2009, were waived by Funds Management, first from advisory fees, and then any remaining amount consecutively from custody fees collected, if any. Funds Management has contractually committed through June 30, 2010 to waive fees and/or reimburse expenses to the extent necessary to maintain certain net operating expense ratios, including the underlying fees and expenses of the Funds, for certain series of Wells Fargo Funds Trust that invest substantially all or a portion of their assets in the Funds. 4. INVESTMENT PORTFOLIO TRANSACTIONS Purchases and sales of investments, exclusive of short-term securities (securities with maturities of one year or less at purchase date) and U.S. Government obligations for the six-month period ended August 31, 2009, were as follows: PORTFOLIO Purchases at Cost Sales Proceeds - --------- ----------------- -------------- DIVERSIFIED FIXED INCOME PORTFOLIO $675,740,008 $289,150,616 DIVERSIFIED STOCK PORTFOLIO 346,048,999 211,147,696 216 Wells Fargo Advantage Master Portfolios Notes to Financial Statements 5. SUBSEQUENT EVENTS On October 5, 2009, State Street Bank and Trust Company ("State Street") replaced WFB and PNC Global Investing Service (U.S.), Inc. as the custodian and fund accountant, respectively, for the Funds pursuant to a custody and fund accounting agreement (the "Agreement.") Pursuant to the Agreement, State Street is entitled to an annual asset-based fee for domestic custody services for the Funds of 0.10 basis points of the complex wide net assets, and for certain specific transaction fees which are set forth in the Agreement. State Street is also entitled to a fee for global custody services for non-US assets in the Funds, which is divided into an annual asset-based fee ranging from 1.00 basis points to 55.00 basis points of month-end assets held, and specific trading fees, both of which vary by country, and are also set forth in the Agreement. Also pursuant to the Agreement, State Street is entitled to receive annual asset-based fees for providing fund accounting services to the Funds. INVESTMENT ADVISORY AND SUB-ADVISORY FEE RATE SCHEDULES On August 12, 2009, the Board of Trustees approved the following changes, effective October 1, 2009, to the investment advisory fee rate schedule payable by the Diversified Fixed Income and Diversified Stock Portfolios to Funds Management at the annual rates shown below. Advisory Fee Rate Schedule Effective October 1, 2009: % of Average Average Daily Net Assets Daily Net Assets - ------------------------ ---------------- DIVERSIFIED FIXED INCOME PORTFOLIO First $500 million 0.30% Next $500 million 0.28% Next $2 billion 0.26% Over $3 billion 0.24% % of Average Average Daily Net Assets Daily Net Assets - ------------------------ ---------------- DIVERSIFIED STOCK PORTFOLIO First $500 million 0.35% Next $500 million 0.33% Next $2 billion 0.31% Over $3 billion 0.29% The Board of Trustees also approved the following changes, effective October 1, 2009, to the investment sub-advisory advisory fee rate schedule payable by the Diversified Fixed Income and Diversified Stock Portfolios to SSgA at the annual rates shown below. Sub-Advisory Fee Rate Schedule Effective October 1, 2009: % of Average Average Daily Net Assets Daily Net Assets - ------------------------ ---------------- DIVERSIFIED FIXED INCOME PORTFOLIO First $1 billion 0.10% Next $1 billion 0.08% Next $3 billion 0.07% Over $5 billion 0.05% DIVERSIFIED STOCK PORTFOLIO First $1 billion 0.10% Next $1 billion 0.08% Next $3 billion 0.07% Over $5 billion 0.05% ITEM 2. CODE OF ETHICS ======================= Not required in this filing ITEM 3. AUDIT COMMITTEE FINANCIAL EXPERT ========================================= Not required in this filing. ITEM 4. PRINCIPAL ACCOUNTANT FEES AND SERVICES ============================================== Not required in this filing. ITEM 5. AUDIT COMMITTEE OF LISTED REGISTRANTS =============================================== Not required in this filing. ITEM 6. SCHEDULE OF INVESTMENTS =============================== The Schedule of Investments is included as part of the report to shareholders filed under Item 1 of this Form. ITEM 7. DISCLOSURE OF PROXY VOTING POLICIES AND PROCEDURES FOR CLOSED-END MANAGEMENT INVESTMENT COMPANIES =============================================================== Not applicable. ITEM 8. PORTFOLIO MANAGERS OF CLOSED-END MANAGEMENT INVESTMENT COMPANIES ============================================================================= Not applicable. ITEM 9. PURCHASES OF EQUITY SECURITIES BY CLOSED-END MANAGEMEENT INVESTMENT COMPANY AND AFFILIATED PURCHASES =================================================================== Not applicable. ITEM 10. SUBMISSION OF MATTERS TO A VOTE OF SECURITY HOLDERS ============================================================ The Governance Committee (the "Committee") of the Board of Trustees of the registrant (the "Trust") has adopted procedures by which a shareholder of any series of the Trust may submit properly a nominee recommendation for the Committee's consideration. The shareholder must submit any such recommendation (a "Shareholder Recommendation") in writing to the Trust, to the attention of the Trust's Secretary, at the address of the principal executive offices of the Trust. The Shareholder Recommendation must be delivered to, or mailed and received at, the principal executive offices of the Trust not less than forty-five (45) calendar days nor more than seventy-five (75) calendar days prior to the date of the Committee meeting at which the nominee would be considered. The Shareholder Recommendation must include: (i) a statement in writing setting forth (A) the name, age, date of birth, business address, residence address and nationality of the person recommended by the shareholder (the "candidate"); (B) the series (and, if applicable, class) and number of all shares of the Trust owned of record or beneficially by the candidate, as reported to such shareholder by the candidate; (C) any other information regarding the candidate called for with respect to director nominees by paragraphs (a), (d), (e) and (f) of Item 401 of Regulation S-K or paragraph (b) of Item 22 of Rule 14a-101 (Schedule 14A) under the Securities Exchange Act of 1934, as amended (the "Exchange Act"), adopted by the Securities and Exchange Commission (or the corresponding provisions of any regulation or rule subsequently adopted by the Securities and Exchange Commission or any successor agency applicable to the Trust); (D) any other information regarding the candidate that would be required to be disclosed if the candidate were a nominee in a proxy statement or other filing required to be made in connection with solicitation of proxies for election of directors pursuant to Section 14 of the Exchange Act and the rules and regulations promulgated thereunder; and (E) whether the recommending shareholder believes that the candidate is or will be an "interested person" of the Trust (as defined in the Investment Company Act of 1940, as amended) and, if not an "interested person," information regarding the candidate that will be sufficient for the Trust to make such determination; (ii) the written and signed consent of the candidate to be named as a nominee and to serve as a Trustee if elected; (iii) the recommending shareholder's name as it appears on the Trust's books; (iv) the series (and, if applicable, class) and number of all shares of the Trust owned beneficially and of record by the recommending shareholder; and (v) a description of all arrangements or understandings between the recommending shareholder and the candidate and any other person or persons (including their names) pursuant to which the recommendation is being made by the recommending shareholder. In addition, the Committee may require the candidate to interview in person and furnish such other information as it may reasonably require or deem necessary to determine the eligibility of such candidate to serve as a Trustee of the Trust. ITEM 11. CONTROLS AND PROCEDURES ================================= (a) The President and Treasurer have concluded that the Wells Fargo Funds Trust (the "Trust") disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940) provide reasonable assurances that material information relating to the Trust is made known to them by the appropriate persons, based on their evaluation of these controls and procedures as of a date within 90 days of the filing of this report. (b) There were no changes in the Trust's internal controls over financial reporting (as defined in rule 30a-3(d) udner the Investment Company Act) that occurred during the second quarter of the period covered by this report that has materially affected or is reasonably likely to materially affect, the registrant's internal control over financial reporting. ITEM 12. EXHIBITS ================= (a)(1) Not required in this filing. (a)(2) Certification pursuant to Rule 30a-2(a) under the Investment Company Act of 1940 (17 CFR 270.30a-2(a)) is filed and attached hereto as Exhibit 99.CERT. (a)(3) Not applicable. (b) Certification pursuant to Rule 30a-2(b) under the Investment Company Act of 1940 (17 CFR 270.30a-2(b)) is filed and attached hereto as Exhibit 99.906CERT. SIGNATURES Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, the registrant has duly caused this report to be signed on its behalf by the undersigned, thereunto duly authorized. Wells Fargo Master Trust By: /s/ Karla M. Rabusch ----------------------------- Karla M. Rabusch President Date: October 23, 2009 Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, this report has been signed below by the following persons on behalf of the registrant and in the capacities and on the date indicated. By: /s/ Karla M. Rabusch ----------------------------- Karla M. Rabusch President Date: October 23, 2009 By: /s/ Jeremy M. DePalma ----------------------------- Jeremy M. DePalma Treasurer Date: October 23, 2009 By: /s/ David S. Berardi ----------------------------- David S. Berardi Treasurer Date: October 23, 2009