Form N-Q

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UNITED STATES

SECURITIES AND EXCHANGE COMMISSION

Washington, D.C. 20549

 

 

FORM N-Q

 

 

QUARTERLY SCHEDULE OF PORTFOLIO HOLDINGS

OF REGISTERED MANAGEMENT INVESTMENT COMPANY

Investment Company Act file number: 811-21507

 

 

Wells Fargo Global Dividend Opportunity Fund

(Exact name of registrant as specified in charter)

 

 

525 Market Street, 12th Floor, San Francisco, CA 94105

(Address of principal executive offices) (Zip code)

 

 

C. David Messman

Wells Fargo Funds Management, LLC

525 Market Street, 12th Floor, San Francisco, CA 94105

(Name and address of agent for service)

 

 

Registrant’s telephone number, including area code: 800-222-8222

Date of fiscal year end: October 31

Registrant is making a filing for Wells Fargo Global Dividend Opportunity Fund.

Date of reporting period: January 31, 2018

 

 

 


ITEM 1.  INVESTMENTS


Wells Fargo Global Dividend Opportunity Fund    Portfolio of investments — January 31, 2018 (unaudited)

 

 

Security name    Shares      Value  

Common Stocks : 69.58%

 

France : 2.88%

 

Veolia Environnement SA (Utilities, Multi-Utilities)

     334,399      $ 8,423,860  
     

 

 

 

Germany : 6.41%

 

Deutsche Post AG (Industrials, Air Freight & Logistics)

     300,000        14,179,739  

Telefonica Deutschland Holding AG (Telecommunication Services, Diversified Telecommunication Services)

     900,000        4,547,797  
        18,727,536  
     

 

 

 

Italy : 16.76%

 

Assicurazioni Generali SpA (Financials, Insurance)

     200,000        3,965,510  

Enel SpA (Utilities, Electric Utilities)

     4,000,000        25,377,276  

Eni SpA (Energy, Oil, Gas & Consumable Fuels)

     50,000        899,254  

Hera SpA (Utilities, Multi-Utilities)

     2,000,000        7,300,312  

Poste Italiane SpA (Financials, Insurance)

     650,000        5,377,897  

Terna SpA (Utilities, Electric Utilities)

     1,000,000        6,019,033  
        48,939,282  
     

 

 

 

Spain : 11.34%

 

Enagás SA (Energy, Oil, Gas & Consumable Fuels)

     600,000        16,351,210  

Endesa SA (Utilities, Electric Utilities)

     180,000        4,044,969  

Red Electrica Corporacion SA (Utilities, Electric Utilities)

     600,000        12,715,952  
        33,112,131  
     

 

 

 

Taiwan : 1.90%

 

Chunghwa Telecom Company Limited ADR (Telecommunication Services, Diversified Telecommunication Services)

     150,000        5,557,500  
     

 

 

 

United Kingdom : 3.77%

 

National Grid plc (Utilities, Multi-Utilities)

     600,366        6,859,499  

Severn Trent plc (Utilities, Water Utilities)

     150,000        4,160,514  
        11,020,013  
     

 

 

 

United States : 26.52%

 

Chatham Lodging Trust (Real Estate, Equity REITs)

     200,000        4,480,000  

City Office REIT Incorporated (Real Estate, Equity REITs)

     200,000        2,336,000  

Colony NorthStar Incorporated (Real Estate, Equity REITs)

     53,647        1,233,881  

Condor Hospitality Trust Incorporated (Real Estate, Equity REITs)

     475,000        4,864,000  

CorEnergy Infrastructure Trust Incorporated (Real Estate, Equity REITs)

     18,000        689,940  

Crown Castle International Corporation (Real Estate, Equity REITs)

     1,500        169,155  

DDR Corporation (Real Estate, Equity REITs)

     6,500        162,240  

Edison International (Utilities, Electric Utilities)

     100,000        6,253,000  

Entergy Corporation (Utilities, Electric Utilities)

     100,000        7,869,000  

Exelon Corporation (Utilities, Electric Utilities)

     150,000        5,776,500  

Kimbell Royalty Partners LP (Energy, Oil, Gas & Consumable Fuels)

     213,000        4,115,160  

Kimco Realty Corporation (Real Estate, Equity REITs)

     10,000        232,200  

Landmark Infrastructure Partners LP (Real Estate, Real Estate Management & Development)

     10,000        181,000  

Monmouth Real Estate Investment Corporation (Real Estate, Equity REITs)

     116,024        2,819,383  

Newtek Business Services Corporation (Financials, Capital Markets)

     30,000        512,700  

PG&E Corporation (Utilities, Electric Utilities)

     78,125        3,314,844  

Physicians Realty Trust (Real Estate, Equity REITs)

     150,000        2,445,000  

Saul Centers Incorporated (Real Estate, Equity REITs)

     5,000        123,350  

Sempra Energy (Utilities, Multi-Utilities)

     75,000        8,026,500  

Shenandoah Telecommunications Company (Telecommunication Services, Wireless Telecommunication Services)

     400,000        13,600,000  

Spark Energy Incorporated Class A (Utilities, Electric Utilities)

     300,000        2,970,000  

Summit Hotel Properties Incorporated (Real Estate, Equity REITs)

     125,000        1,936,250  

UMH Properties Incorporated (Real Estate, Equity REITs)

     10,000        243,100  

 

1


Portfolio of investments — January 31, 2018 (unaudited)    Wells Fargo Global Dividend Opportunity Fund

 

 

Security name      Shares      Value  

United States (continued)

 

Visa Incorporated Class A (Information Technology, IT Services)

 

     25,000      $ 3,105,750  
             77,458,953  
          

 

 

 

Total Common Stocks (Cost $170,782,483)

 

     203,239,275  
          

 

 

 
     Interest rate     Maturity date      Principal         

Corporate Bonds and Notes : 20.79%

 

United States : 20.79%

 

Advanced Disposal Services Incorporated (Industrials, Commercial Services & Supplies) 144A

     5.63     11-15-2024      $ 700,000        722,750  

Allison Transmission Incorporated (Consumer Discretionary, Auto Components ) 144A

     4.75       10-1-2027        125,000        124,375  

Allison Transmission Incorporated (Consumer Discretionary, Auto Components) 144A

     5.00       10-1-2024        700,000        707,000  

Altice US Finance I Corporation (Consumer Discretionary, Media) 144A

     5.38       7-15-2023        325,000        332,719  

AmeriGas Partners LP (Utilities, Gas Utilities )

     5.75       5-20-2027        50,000        51,188  

Aramark Services Incorporated (Industrials, Commercial Services & Supplies ) 144A

     5.00       2-1-2028        50,000        50,719  

Aramark Services Incorporated (Industrials, Commercial Services & Supplies)

     5.13       1-15-2024        175,000        180,469  

Archrock Partners LP (Energy, Oil, Gas & Consumable Fuels )

     6.00       10-1-2022        200,000        203,000  

Asbury Automotive Group Incorporated (Consumer Discretionary, Specialty Retail)

     6.00       12-15-2024        625,000        650,000  

B&G Foods Incorporated (Consumer Staples, Food Products)

     5.25       4-1-2025        217,000        217,271  

Berry Plastics Corporation (Materials, Containers & Packaging)

     6.00       10-15-2022        115,000        119,888  

BreitBurn Energy Partners LP (Energy, Oil, Gas & Consumable Fuels ) †

     8.63       10-15-2020        4,180,000        282,150  

Bristow Group Incorporated (Energy, Energy Equipment & Services)

     6.25       10-15-2022        625,000        528,125  

Cardtronics Incorporated (Information Technology, IT Services )

     5.13       8-1-2022        50,000        48,375  

Cardtronics Incorporated (Information Technology, IT Services) 144A

     5.50       5-1-2025        425,000        394,188  

Carrizo Oil & Gas Incorporated (Energy, Oil, Gas & Consumable Fuels)

     8.25       7-15-2025        125,000        137,813  

CCM Merger Incorporated (Consumer Discretionary, Hotels, Restaurants & Leisure) 144A

     6.00       3-15-2022        700,000        717,500  

CCO Holdings LLC (Consumer Discretionary, Media ) 144A

     4.00       3-1-2023        25,000        24,555  

CCO Holdings LLC (Consumer Discretionary, Media ) 144A

     5.00       2-1-2028        25,000        24,188  

CCO Holdings LLC (Consumer Discretionary, Media)

     5.13       2-15-2023        200,000        203,875  

CCO Holdings LLC (Consumer Discretionary, Media) 144A

     5.13       5-1-2023        1,780,000        1,814,488  

CDK Global Incorporated (Information Technology, Software) 144A

     4.88       6-1-2027        25,000        25,040  

CDK Global Incorporated (Information Technology, Software)

     5.00       10-15-2024        100,000        103,000  

Central Garden & Pet Company (Consumer Staples, Household Products )

     5.13       2-1-2028        25,000        24,875  

Cequel Communications Holdings I LLC (Consumer Discretionary, Media) 144A

     7.75       7-15-2025        500,000        543,750  

Change Healthcare Holdings Incorporated (Health Care, Health Care Technology) 144A

     5.75       3-1-2025        425,000        432,438  

Cheniere Energy Incorporated (Energy, Oil, Gas & Consumable Fuels ) 144A

     5.25       10-1-2025        1,200,000        1,222,500  

Cinemark USA Incorporated (Consumer Discretionary, Media )

     4.88       6-1-2023        25,000        25,313  

CommScope Technologies Finance LLC (Information Technology, Communications Equipment) 144A

     6.00       6-15-2025        125,000        131,524  

Community Health Systems Incorporated (Health Care, Health Care Equipment & Supplies )

     5.13       8-1-2021        325,000        303,063  

Continental Resources Incorporated (Energy, Oil, Gas & Consumable Fuels ) 144A

     4.38       1-15-2028        50,000        49,820  

Continental Resources Incorporated (Energy, Oil, Gas & Consumable Fuels)

     3.80       6-1-2024        382,000        374,360  

Cooper Tire & Rubber Company (Consumer Discretionary, Auto Components)

     7.63       3-15-2027        475,000        535,563  

Cooper Tire & Rubber Company (Consumer Discretionary, Auto Components )

     8.00       12-15-2019        175,000        189,875  

CoreCivic Incorporated (Real Estate, Equity REITs )

     4.63       5-1-2023        250,000        255,000  

CoreCivic Incorporated (Real Estate, Equity REITs)

     5.00       10-15-2022        3,000        3,120  

Cott Beverages Incorporated (Consumer Staples, Beverages) 144A

     5.50       4-1-2025        275,000        280,156  

 

2


Wells Fargo Global Dividend Opportunity Fund    Portfolio of investments — January 31, 2018 (unaudited)

 

 

Security name

   Interest rate     Maturity date    Principal      Value  

United States (continued)

 

Covanta Holding Corporation (Industrials, Commercial Services & Supplies)

     5.88   3-1-2024    $ 750,000      $ 761,250  

Covanta Holding Corporation (Industrials, Commercial Services & Supplies )

     5.88     7-1-2025      25,000        25,438  

Crown Americas LLC (Materials, Containers & Packaging ) 144A

     4.75     2-1-2026      125,000        125,938  

Crown Cork & Seal Company Incorporated (Materials, Containers & Packaging)

     7.38     12-15-2026      279,000        321,548  

DCP Midstream Operating LP (Energy, Oil, Gas & Consumable Fuels)

     2.70     4-1-2019      125,000        124,531  

Dell International LLC (Information Technology, Technology Hardware, Storage & Peripherals) 144A

     5.88     6-15-2021      1,325,000        1,372,210  

Denbury Resources Incorporated (Energy, Oil, Gas & Consumable Fuels)

     6.38     8-15-2021      875,000        739,375  

Diamond Offshore Drilling Incorporated (Energy, Energy Equipment & Services )

     4.88     11-1-2043      250,000        191,250  

EMI Music Publishing Group (Consumer Discretionary, Media) 144A

     7.63     6-15-2024      218,000        239,800  

Equinix Incorporated (Real Estate, Equity REITs )

     5.75     1-1-2025      25,000        26,375  

Equinix Incorporated (Real Estate, Equity REITs)

     5.88     1-15-2026      400,000        425,000  

Era Group Incorporated (Energy, Energy Equipment & Services)

     7.75     12-15-2022      500,000        485,000  

ESH Hospitality Incorporated (Real Estate, Equity REITs) 144A

     5.25     5-1-2025      725,000        730,438  

Exterran Partners LP (Energy, Oil, Gas & Consumable Fuels)

     6.00     4-1-2021      500,000        506,250  

First Data Corporation (Information Technology, IT Services) 144A

     7.00     12-1-2023      800,000        842,504  

FirstCash Incorporated (Financials, Consumer Finance) 144A

     5.38     6-1-2024      375,000        392,813  

Gartner Incorporated (Information Technology, IT Services) 144A

     5.13     4-1-2025      600,000        623,820  

Gray Television Incorporated (Consumer Discretionary, Media) 144A

     5.13     10-15-2024      850,000        854,250  

Group 1 Automotive Incorporated (Consumer Discretionary, Specialty Retail )

     5.00     6-1-2022      75,000        77,123  

Group 1 Automotive Incorporated (Consumer Discretionary, Specialty Retail) 144A

     5.25     12-15-2023      250,000        257,500  

Gulfport Energy Corporation (Energy, Oil, Gas & Consumable Fuels )

     6.00     10-15-2024      300,000        302,250  

HCA Incorporated (Health Care, Health Care Providers & Services)

     6.50     2-15-2020      375,000        399,844  

Hilcorp Energy Company (Energy, Energy Equipment & Services) 144A

     5.00     12-1-2024      125,000        125,625  

Hilcorp Energy Company (Energy, Energy Equipment & Services) 144A

     5.75     10-1-2025      475,000        489,250  

Hill-Rom Holdings Incorporated (Health Care, Health Care Equipment & Supplies) 144A

     5.75     9-1-2023      255,000        265,519  

Hologic Incorporated (Health Care, Health Care Equipment & Supplies ) 144A

     4.63     2-1-2028      25,000        25,000  

Hologic Incorporated (Health Care, Health Care Equipment & Supplies ) 144A

     4.38     10-15-2025      491,000        491,000  

Hornbeck Offshore Services Incorporated (Energy, Energy Equipment & Services)

     1.50     9-1-2019      1,125,000        843,535  

Hub International Limited (Financials, Insurance) 144A

     7.88     10-1-2021      950,000        988,000  

Infor U.S. Incorporated (Information Technology, Internet Software & Services)

     6.50     5-15-2022      215,000        221,719  

Iron Mountain Incorporated (Real Estate, Equity REITs ) 144A

     5.25     3-15-2028      100,000        97,250  

Iron Mountain Incorporated (Real Estate, Equity REITs) 144A

     5.38     6-1-2026      800,000        800,000  

KAR Auction Services Incorporated (Industrials, Commercial Services & Supplies) 144A

     5.13     6-1-2025      925,000        937,719  

Kinetics Concepts Incorporated (Health Care, Health Care Equipment & Supplies) 144A

     7.88     2-15-2021      500,000        518,750  

Lamar Media Corporation (Consumer Discretionary, Media)

     5.38     1-15-2024      400,000        412,000  

Lamb Weston Holdings Incorporated (Consumer Staples, Food Products) 144A

     4.63     11-1-2024      175,000        177,625  

Lamb Weston Holdings Incorporated (Consumer Staples, Food Products) 144A

     4.88     11-1-2026      150,000        153,000  

Level 3 Financing Incorporated (Telecommunication Services, Diversified Telecommunication Services )

     5.13     5-1-2023      25,000        25,063  

Level 3 Financing Incorporated (Telecommunication Services, Diversified Telecommunication Services)

     5.38     8-15-2022      44,000        44,660  

Level 3 Financing Incorporated (Telecommunication Services, Diversified Telecommunication Services)

     5.38     5-1-2025      350,000        350,690  

Level 3 Financing Incorporated (Telecommunication Services, Diversified Telecommunication Services)

     5.63     2-1-2023      250,000        253,125  

Levi Strauss & Company (Consumer Discretionary, Specialty Retail)

     5.00     5-1-2025      350,000        362,250  

Lithia Motors Incorporated (Consumer Discretionary, Specialty Retail) 144A

     5.25     8-1-2025      625,000        643,750  

 

3


Portfolio of investments — January 31, 2018 (unaudited)    Wells Fargo Global Dividend Opportunity Fund

 

 

Security name    Interest rate     Maturity date      Principal      Value  

United States (continued)

          

Live Nation Entertainment Incorporated (Consumer Discretionary, Media) 144A

     5.38     6-15-2022      $ 316,000      $ 325,480  

LKQ Corporation (Consumer Discretionary, Distributors)

     4.75       5-15-2023        340,000        348,075  

LPL Holdings Incorporated (Financials, Diversified Financial Services) 144A

     5.75       9-15-2025        1,330,000        1,357,012  

Mednax Incorporated (Health Care, Health Care Providers & Services) 144A

     5.25       12-1-2023        250,000        255,313  

MGM Growth Properties LLC (Real Estate, Equity REITs ) 144A

     4.50       1-15-2028        75,000        73,172  

MPH Acquisition Holdings LLC (Health Care, Health Care Providers & Services) 144A

     7.13       6-1-2024        475,000        510,031  

MPT Operating Partnership LP (Health Care, Health Care Providers & Services)

     5.25       8-1-2026        100,000        103,000  

MPT Operating Partnership LP (Health Care, Health Care Providers & Services)

     6.38       3-1-2024        575,000        612,950  

Murphy Oil Corporation (Energy, Oil, Gas & Consumable Fuels )

     5.75       8-15-2025        30,000        30,750  

Murphy Oil Corporation (Energy, Oil, Gas & Consumable Fuels)

     6.88       8-15-2024        400,000        427,264  

Nabors Industries Limited (Energy, Oil, Gas & Consumable Fuels)

     0.75       1-15-2024        225,000        180,855  

National CineMedia LLC (Consumer Discretionary, Media)

     6.00       4-15-2022        375,000        380,156  

Navient Corporation (Financials, Consumer Finance)

     8.00       3-25-2020        200,000        216,190  

NCR Corporation (Information Technology, Technology Hardware, Storage & Peripherals)

     5.88       12-15-2021        225,000        230,906  

NCR Corporation (Information Technology, Technology Hardware, Storage & Peripherals)

     6.38       12-15-2023        725,000        761,250  

Nexstar Broadcasting Group Incorporated (Consumer Discretionary, Media) 144A

     6.13       2-15-2022        400,000        412,000  

NextEra Energy Incorporated (Utilities, Electric Utilities ) 144A

     4.25       9-15-2024        25,000        25,125  

NGPL PipeCo LLC (Energy, Energy Equipment & Services) 144A

     4.38       8-15-2022        50,000        50,515  

NGPL PipeCo LLC (Energy, Energy Equipment & Services) 144A

     4.88       8-15-2027        75,000        77,063  

NGPL PipeCo LLC (Energy, Energy Equipment & Services) 144A

     7.77       12-15-2037        1,025,000        1,278,688  

Nielsen Finance LLC (Consumer Discretionary, Media) 144A

     5.00       4-15-2022        350,000        355,688  

NSG Holdings LLC (Utilities, Independent Power & Renewable Electricity Producers) 144A

     7.75       12-15-2025        512,513        563,764  

OneMain Financial Group LLC (Financials, Consumer Finance) 144A

     7.25       12-15-2021        750,000        776,250  

Outfront Media Capital Corporation (Consumer Discretionary, Media)

     5.88       3-15-2025        450,000        468,297  

Owens-Brockway Glass Container Incorporated (Materials, Containers & Packaging) 144A

     5.88       8-15-2023        100,000        106,250  

Owens-Illinois Incorporated (Materials, Containers & Packaging) 144A

     5.38       1-15-2025        575,000        603,750  

Owens-Illinois Incorporated (Materials, Containers & Packaging) 144A

     6.38       8-15-2025        200,000        221,000  

Pattern Energy Group Incorporated (Utilities, Independent Power & Renewable Electricity Producers) 144A

     5.88       2-1-2024        1,000,000        1,052,500  

Penske Auto Group Incorporated (Consumer Discretionary, Specialty Retail )

     3.75       8-15-2020        85,000        85,425  

Penske Auto Group Incorporated (Consumer Discretionary, Specialty Retail)

     5.75       10-1-2022        700,000        720,790  

PHI Incorporated (Energy, Energy Equipment & Services)

     5.25       3-15-2019        700,000        694,750  

Pilgrim’s Pride Corporation (Consumer Staples, Food Products ) 144A

     5.75       3-15-2025        75,000        75,750  

Pilgrim’s Pride Corporation (Consumer Staples, Food Products ) 144A

     5.88       9-30-2027        50,000        50,125  

Polaris Intermediate Corporation (Health Care, Health Care Providers & Services ) 144A

     8.50       12-1-2022        100,000        104,125  

Quintiles IMS Holdings Incorporated (Health Care, Health Care Technology ) 144A

     4.88       5-15-2023        100,000        103,500  

RBS Global & Rexnord LLC (Industrials, Aerospace & Defense ) 144A

     4.88       12-15-2025        275,000        278,438  

Rockies Express Pipeline LLC (Energy, Oil, Gas & Consumable Fuels) 144A

     5.63       4-15-2020        950,000        997,500  

Rockies Express Pipeline LLC (Energy, Oil, Gas & Consumable Fuels) 144A

     6.88       4-15-2040        350,000        409,938  

Rose Rock Midstream LP (Energy, Oil, Gas & Consumable Fuels)

     5.63       7-15-2022        550,000        555,500  

Rose Rock Midstream LP (Energy, Oil, Gas & Consumable Fuels)

     5.63       11-15-2023        265,000        261,356  

Sabine Pass Liquefaction LLC (Energy, Oil, Gas & Consumable Fuels)

     5.63       2-1-2021        625,000        666,130  

Sabra Health Care REIT Incorporated (Real Estate, Equity REITs)

     5.50       2-1-2021        335,000        343,794  

Salem Media Group Incorporated (Consumer Discretionary, Media) 144A

     6.75       6-1-2024        500,000        488,750  

SBA Communications Corporation (Telecommunication Services, Wireless Telecommunication Services)

     4.88       7-15-2022        155,000        158,681  

Sealed Air Corporation (Materials, Containers & Packaging) 144A

     5.13       12-1-2024        350,000        370,125  

Select Medical Corporation (Health Care, Health Care Providers & Services)

     6.38       6-1-2021        400,000        409,000  

SemGroup Corporation (Energy, Oil, Gas & Consumable Fuels ) 144A

     7.25       3-15-2026        225,000        232,875  

 

4


Wells Fargo Global Dividend Opportunity Fund    Portfolio of investments — January 31, 2018 (unaudited)

 

 

Security name    Interest rate     Maturity date    Principal      Value  

United States (continued)

 

Service Corporation International (Consumer Discretionary, Diversified Consumer Services )

     4.63   12-15-2027    $ 100,000      $ 99,125  

Service Corporation International (Consumer Discretionary, Diversified Consumer Services)

     7.50     4-1-2027      20,000        23,800  

Service Corporation International (Consumer Discretionary, Diversified Consumer Services)

     8.00     11-15-2021      850,000        988,125  

Silgan Holdings Incorporated (Materials, Containers & Packaging)

     5.00     4-1-2020      9,000        9,023  

Sonic Automotive Incorporated (Consumer Discretionary, Specialty Retail)

     5.00     5-15-2023      475,000        461,938  

Southern Star Central Corporation (Energy, Oil, Gas & Consumable Fuels) 144A

     5.13     7-15-2022      250,000        257,500  

Southwestern Energy Company (Energy, Oil, Gas & Consumable Fuels )

     7.50     4-1-2026      50,000        52,313  

Southwestern Energy Company (Energy, Oil, Gas & Consumable Fuels )

     7.75     10-1-2027      50,000        51,875  

Spectrum Brands Incorporated (Consumer Staples, Household Products)

     5.75     7-15-2025      50,000        52,625  

Springleaf Finance Corporation (Financials, Consumer Finance)

     8.25     12-15-2020      106,000        116,865  

Springleaf Finance Corporation (Financials, Consumer Finance )

     8.25     10-1-2023      100,000        110,000  

Sprint Capital Corporation (Telecommunication Services, Wireless Telecommunication Services )

     7.63     2-15-2025      200,000        207,500  

SS&C Technologies Incorporated (Information Technology, Software)

     5.88     7-15-2023      500,000        524,375  

Surgery Center Holdings Incorporated (Health Care, Health Care Equipment & Supplies) 144A

     6.75     7-1-2025      100,000        96,375  

Surgery Center Holdings Incorporated (Health Care, Health Care Equipment & Supplies) 144A

     8.88     4-15-2021      250,000        260,938  

Symantec Corporation (Information Technology, Software ) 144A

     5.00     4-15-2025      50,000        50,991  

T-Mobile USA Incorporated (Telecommunication Services, Wireless Telecommunication Services )

     4.75     2-1-2028      25,000        25,094  

T-Mobile USA Incorporated (Telecommunication Services, Wireless Telecommunication Services)

     6.50     1-15-2026      1,500,000        1,625,625  

T-Mobile USA Incorporated (Telecommunication Services, Wireless Telecommunication Services )

     4.50     2-1-2026      25,000        25,129  

Tallgrass Energy Partners LP (Energy, Oil, Gas & Consumable Fuels) 144A

     5.50     9-15-2024      1,025,000        1,050,625  

Tempo Acquisition LLC (Financials, Diversified Financial Services) 144A

     6.75     6-1-2025      350,000        357,000  

Tenet Healthcare Corporation (Health Care, Health Care Providers & Services) 144A

     4.63     7-15-2024      130,000        127,725  

TerraForm Power Operating LLC (Utilities, Independent Power & Renewable Electricity Producers ) 144A

     5.00     1-31-2028      100,000        98,625  

TerraForm Power Operating LLC (Utilities, Independent Power & Renewable Electricity Producers ) 144A

     4.25     1-31-2023      600,000        594,000  

Tesoro Logistics LP (Energy, Oil, Gas & Consumable Fuels)

     6.38     5-1-2024      375,000        406,406  

The E.W. Scripps Company (Consumer Discretionary, Media) 144A

     5.13     5-15-2025      517,000        510,538  

The Geo Group Incorporated (Real Estate, Equity REITs)

     5.13     4-1-2023      150,000        151,125  

The Geo Group Incorporated (Real Estate, Equity REITs)

     5.88     1-15-2022      24,000        24,630  

The Geo Group Incorporated (Real Estate, Equity REITs)

     5.88     10-15-2024      500,000        513,750  

The Geo Group Incorporated (Real Estate, Equity REITs )

     6.00     4-15-2026      100,000        102,000  

The William Carter Company (Consumer Discretionary, Textiles, Apparel & Luxury Goods )

     5.25     8-15-2021      275,000        280,500  

Ultra Resources Incorporated (Energy, Oil, Gas & Consumable Fuels) 144A

     6.88     4-15-2022      250,000        250,000  

Ultra Resources Incorporated (Energy, Oil, Gas & Consumable Fuels) 144A

     7.13     4-15-2025      250,000        249,688  

USIS Merger Subordinate Incorporated (Financials, Insurance) 144A

     6.88     5-1-2025      208,000        214,240  

Vantiv LLC (Financials, Diversified Financial Services ) 144A

     4.38     11-15-2025      75,000        74,438  

Vizient Incorporated (Health Care, Health Care Providers & Services) 144A

     10.38     3-1-2024      575,000        648,313  

Waste Pro USA Incorporated (Industrials, Commercial Services & Supplies ) 144A%%

     5.50     2-15-2026      50,000        50,875  

Wolverine World Wide Company (Consumer Discretionary, Textiles, Apparel & Luxury Goods) 144A

     5.00     9-1-2026      325,000        328,250  

Wrangler Buyer Corporation (Industrials, Commercial Services & Supplies ) 144A

     6.00     10-1-2025      50,000        51,625  

Zayo Group LLC (Information Technology, Internet Software & Services) 144A

     5.75     1-15-2027      25,000        25,408  

 

5


Portfolio of investments — January 31, 2018 (unaudited)    Wells Fargo Global Dividend Opportunity Fund

 

 

Security name    Interest rate     Maturity date      Principal      Value  

United States (continued)

 

Zayo Group LLC (Information Technology, Internet Software & Services)

     6.38     5-15-2025      $ 650,000      $ 681,688  

Total Corporate Bonds and Notes (Cost $64,408,686)

 

     60,724,581  
          

 

 

 

Loans : 0.52%

 

Advantage Sales & Marketing LLC (3 Month LIBOR +6.50%) (Industrials, Commercial Services & Supplies) ±

     8.27       7-25-2022        250,000        233,230  

Ancestry.com Incorporated (1 Month LIBOR +3.25%) (Information Technology, Internet Software & Services ) ±

     4.83       10-19-2023        111,648        112,416  

Emerald BidCo Incorporated (1 Month LIBOR +3.00%) (Health Care, Health Care Technology ) ±

     4.57       10-21-2023        149,622        151,118  

Montreign Operating Company LLC (1 Month LIBOR +8.25%) (Consumer Discretionary, Hotels, Restaurants & Leisure) ±‡

     9.82       12-7-2022        825,000        836,344  

Resolute Investment Managers Incorporated (3 Month LIBOR +7.50%) (Financials, Diversified Financial Services ) ±‡

     9.27       4-30-2023        175,000        177,406  

Total Loans (Cost $1,517,903)

 

     1,510,514  
          

 

 

 
     Dividend yield            Shares         

Preferred Stocks : 17.17%

 

Canada : 2.41%

 

Just Energy Group Incorporated (Utilities, Multi-Utilities)

     8.37          315,000        7,040,250  
          

 

 

 

Hong Kong : 1.63%

 

Seaspan Corporation (Industrials, Marine)

     7.13          200,000        4,756,000  
          

 

 

 

Monaco : 2.08%

 

Costamare Incorporated (Industrials, Marine)

     8.88          5,000        124,600  

Navios Maritime Holdings Incorporated (Industrials, Marine) †

     0.00          59,000        932,200  

Scorpio Tankers Incorporated (Energy, Oil, Gas & Consumable Fuels)

     6.75          40,000        982,000  

Scorpio Tankers Incorporated (Energy, Oil, Gas & Consumable Fuels)

     8.25          160,000        4,048,000  
     6,086,800  
          

 

 

 

United Kingdom : 1.43%

 

Diana Shipping Incorporated (Industrials, Marine)

     8.50          118,941        3,018,723  

Safe Bulkers Incorporated (Industrials, Marine)

     8.00          50,000        1,148,605  
             4,167,328  
          

 

 

 

United States : 9.62%

 

Annaly Capital Management Incorporated (Financials, Diversified Financial Services) †

     0.00          15,000        369,150  

Arlington Asset Investment Corporation (Financials, Capital Markets)

     6.63          100,040        2,413,155  

Ashford Hospitality Prime Incorporated (Real Estate, Equity REITs)

     5.50          36,000        696,600  

Capital Southwest Corporation (Financials, Capital Markets)

     5.95          4,000        102,520  

DTE Energy Company (Utilities, Multi-Utilities)

     5.25          150,000        3,630,000  

Eagle Point Credit Company Incorporated (Financials, Capital Markets)

     7.75          5,000        129,500  

First Republic Bank (Financials, Banks)

     5.13          5,000        121,800  

Gastar Exploration Incorporated Series B (Energy, Oil, Gas & Consumable Fuels)

     10.75          56,900        1,081,100  

GreenHunter Resources Incorporated Series C (Energy, Energy Equipment & Services) †(a)

     0.00          61,786        0  

M&T Bank Corporation (Financials, Banks)

     6.38          1,022        1,054,704  

Maiden Holdings Limited (Financials, Insurance)

     6.70          5,000        91,300  

Medley LLC (Financials, Diversified Financial Services)

     6.88          120,000        2,913,600  

NuStar Energy LP (Energy, Oil, Gas & Consumable Fuels)

     8.02          35,000        882,700  

Pennsylvania REIT (Real Estate, Equity REITs)

     6.88          5,000        117,250  

Saratoga Investment Corporation (Financials, Capital Markets)

     6.75          187,011        4,806,183  

SCE Trust VI (Utilities, Electric Utilities)

     5.00          107,972        2,445,566  

Scorpio Bulkers Incorporated (Industrials, Marine)

     7.50          105,000        2,656,500  

Seritage Growth Properties (Real Estate, Equity REITs) †

     0.00          5,000        115,000  

Southern Company (Utilities, Electric Utilities)

     5.25          150,000        3,567,000  

 

6


Wells Fargo Global Dividend Opportunity Fund    Portfolio of investments — January 31, 2018 (unaudited)

 

 

Security name    Dividend yield            Shares      Value  

United States (continued)

 

Spirit Realty Capital Incorporated (Real Estate, Equity REITs)

     6.00        10,000      $ 243,300  

TCF Financial Corporation (Financials, Banks)

     5.70          10,000        247,500  

Teekay Offshore Partners LP (Energy, Oil, Gas & Consumable Fuels)

     7.88          15,000        374,550  

The Carlyle Group LP (Financials, Capital Markets)

     5.88          2,500        60,375  
     28,119,353  
          

 

 

 

Total Preferred Stocks (Cost $53,781,991)

 

     50,169,731  
          

 

 

 
      Expiration date                

Rights : 0.23%

 

United States : 0.23%

 

Safeway Casa Ley Contingent Value Rights (Consumer Staples, Food & Staples Retailing)†(a)

       1-30-2019        750,000        652,500  

Safeway PDC LLC Contingent Value Rights (Consumer Staples, Food & Staples Retailing)†(a)

       1-31-2018        750,000        12,750  

Total Rights (Cost $782,250)

 

     665,250  
          

 

 

 

Warrants : 0.00%

 

United States : 0.00%

 

Energy & Exploration Partners Incorporated (Energy, Oil, Gas & Consumable Fuels)(a)

 

    5-16-2023        9        0  

GreenHunter Water LLC (Energy, Energy Equipment &
Services)
(a)

 

    12-31-2049        96,112        0  

Total Warrants (Cost $0)

 

     0  
          

 

 

 
     Interest rate     Maturity date      Principal         

Yankee Corporate Bonds and Notes : 2.11%

 

Bermuda : 0.32%

 

Teekay Corporation (Energy, Oil, Gas & Consumable Fuels)

     8.50       1-15-2020      $ 900,000        936,540  
          

 

 

 

Canada : 1.01%

 

Baytex Energy Corporation (Energy, Oil, Gas & Consumable Fuels) 144A

     5.63       6-1-2024        675,000        632,813  

GFL Environmental Incorporated (Industrials, Commercial Services & Supplies) 144A

     9.88       2-1-2021        390,000        410,963  

Ritchie Brothers Auctioneers Incorporated (Industrials, Commercial Services & Supplies) 144A

     5.38       1-15-2025        725,000        744,938  

Valeant Pharmaceuticals International Incorporated (Health Care, Pharmaceuticals ) 144A

     9.00       12-15-2025        85,000        87,311  

Valeant Pharmaceuticals International Incorporated (Health Care, Pharmaceuticals ) 144A

     5.50       11-1-2025        75,000        75,788  

Valeant Pharmaceuticals International Incorporated (Health Care, Pharmaceuticals) 144A

     5.88       5-15-2023        725,000        654,675  

Valeant Pharmaceuticals International Incorporated (Health Care, Pharmaceuticals) 144A

     7.50       7-15-2021        350,000        351,313  
             2,957,801  
          

 

 

 

Ireland : 0.18%

 

Ardagh Packaging Finance plc (Materials, Containers & Packaging) 144A

     7.25       5-15-2024        500,000        537,350  
          

 

 

 

Luxembourg : 0.31%

 

Intelsat Jackson Holdings SA (Telecommunication Services, Diversified Telecommunication Services)

     5.50       8-1-2023        1,000,000        785,000  

Intelsat Luxembourg SA (Telecommunication Services, Diversified Telecommunication Services)

     7.75       6-1-2021        300,000        135,660  
     920,660  
          

 

 

 

 

7


Portfolio of investments — January 31, 2018 (unaudited)    Wells Fargo Global Dividend Opportunity Fund

 

 

Security name         Interest rate     Maturity date      Principal      Value  

Netherlands : 0.03%

 

  

OI European Group BV (Materials, Containers & Packaging ) 144A

      4.00     3-15-2023      $ 75,000      $ 74,391  
           

 

 

 

United Kingdom : 0.26%

 

  

Ensco plc (Energy, Energy Equipment & Services)

      5.75       10-1-2044        575,000        410,383  

IHS Markit Limited (Industrials, Professional Services ) 144A

      5.00       11-1-2022        50,000        52,875  

IHS Markit Limited (Industrials, Professional Services) 144A

      4.75       2-15-2025        75,000        78,000  

Sensata Technologies BV (Industrials, Machinery ) 144A

      5.00       10-1-2025        97,000        100,638  

Sensata Technologies BV (Industrials, Machinery ) 144A

      6.25       2-15-2026        100,000        107,500  
              749,396  
           

 

 

 

Total Yankee Corporate Bonds and Notes
(Cost $6,155,369)

              6,176,138  
           

 

 

 
          Yield            Shares         

Short-Term Investments : 1.74%

 

  

Investment Companies : 1.74%

 

  

Wells Fargo Government Money Market Fund Select Class (l)(u)##

      1.24          5,079,814        5,079,814  
           

 

 

 

Total Short-Term Investments (Cost $5,079,814)

              5,079,814  
           

 

 

 

Total investments in securities
(Cost $302,508,496)

    112.14        327,565,303  

Other assets and liabilities, net

    (12.14        (35,458,061
 

 

 

           

 

 

 

Total net assets

    100.00      $ 292,107,242  
 

 

 

           

 

 

 

 

144A   The security may be resold in transactions exempt from registration, normally to qualified institutional buyers, pursuant to Rule 144A under the Securities Act of 1933.
  Non-income-earning security
%%   The security is issued on a when-issued basis.
±   Variable rate investment. The rate shown is the rate in effect at period end.
  Security is valued using significant unobservable inputs.
(a)   The security is fair valued in accordance with procedures approved by the Board of Trustees.
(l)   The issuer of the security is an affiliated person of the Fund as defined in the Investment Company Act of 1940.
(u)   The rate represents the 7-day annualized yield at period end.
##   All or a portion of this security is segregated for when-issued securities.

Abbreviations:

 

ADR      American depository receipt
LIBOR      London Interbank Offered Rate
LLC      Limited liability company
LP      Limited partnership
plc      Public limited company
REIT      Real estate investment trust

 

8


Investments in Affiliates

An affiliated investment is an investment in which the Fund owns at least 5% of the outstanding voting shares of the issuer or as a result of other relationships, such as the Fund and the issuer having the same investment manager. Transactions with issuers that were either affiliated persons of the Fund at the beginning of the period or the end of the period were as follows:

 

     Shares,
beginning of
period
     Shares
purchased
    

Shares

sold

    

Shares,

end of

period

    

Value,

end

of period

    

% of

net

assets

 

Short-Term Investments

                 

Investment Companies

                 

Wells Fargo Government Money Market Fund Select Class

     16,518,572        36,311,501        47,750,259        5,079,814      $ 5,079,814        1.74


Wells Fargo Global Dividend Opportunity Fund (the “Fund”)

Notes to Portfolio of investments – January 31, 2018 (unaudited)

 

Securities valuation

All investments are valued each business day as of the close of regular trading on the New York Stock Exchange (generally 4 p.m. Eastern Time), although the Fund may deviate from this calculation under unusual or unexpected circumstances.

Equity securities that are listed on a foreign or domestic exchange or market are valued at the official closing price or, if none, the last sales price. If no sale occurs on the principal exchange or market that day, a fair value price will be determined in accordance with the Fund’s Valuation Procedures.

The values of securities denominated in foreign currencies are translated into U.S. dollars at rates provided by an independent foreign currency pricing source at a time each business day specified by the Wells Fargo Asset Management Pricing Committee of Wells Fargo Funds Management, LLC.

Many securities markets and exchanges outside the U.S. close prior to the close of the New York Stock Exchange and therefore may not fully reflect trading or events that occur after the close of the principal exchange in which the foreign securities are traded, but before the close of the New York Stock Exchange. If such trading or events are expected to materially affect the value of such securities, then fair value pricing procedures approved by the Board of Trustees of the Fund are applied. These procedures take into account multiple factors including movements in U.S. securities markets after foreign exchanges close. Foreign securities that are fair valued under these procedures are categorized as Level 2 and the application of these procedures may result in transfers between Level 1 and Level 2. Depending on market activity, such fair valuations may be frequent. Such fair value pricing may result in net asset values that are higher or lower than net asset values based on the last reported sales price or latest quoted bid price. On January 31, 2018, such fair value pricing was not used in pricing foreign securities.

Debt securities are valued at the evaluated bid price provided by an independent pricing service or, if a reliable price is not available, the quoted bid price from an independent broker-dealer.

Investments in registered open-end investment companies are valued at net asset value.

Investments which are not valued using any of the methods discussed above are valued at their fair value, as determined in good faith by the Board of Trustees. The Board of Trustees has established a Valuation Committee comprised of the Trustees and has delegated to it the authority to take any actions regarding the valuation of portfolio securities that the Valuation Committee deems necessary or appropriate, including determining the fair value of portfolio securities, unless the determination has been delegated to the Wells Fargo Asset Management Pricing Committee. The Board of Trustees retains the authority to make or ratify any valuation decisions or approve any changes to the Valuation Procedures as it deems appropriate. On a quarterly basis, the Board of Trustees receives reports on any valuation actions taken by the Valuation Committee or the Wells Fargo Asset Management Pricing Committee which may include items for ratification.

Valuations of fair valued securities are compared to the next actual sales price when available, or other appropriate market values, to assess the continued appropriateness of the fair valuation methodologies used. These securities are fair valued on a day-to-day basis, taking into consideration changes to appropriate market information and any significant changes to the inputs considered in the valuation process until there is a readily available price provided on an exchange or by an independent pricing service. Valuations received from an independent pricing service or independent broker-dealer quotes are periodically validated by comparisons to most recent trades and valuations provided by other independent pricing services in addition to the review of prices by the manager and/or subadviser. Unobservable inputs used in determining fair valuations are identified based on the type of security, taking into consideration factors utilized by market participants in valuing the investment, knowledge about the issuer and the current market environment.

Foreign currency translation

The accounting records of the Fund are maintained in U.S. dollars. The values of other assets and liabilities denominated in foreign currencies are translated into U.S. dollars at rates provided by an independent foreign currency pricing source at a time each business day specified by the Wells Fargo Asset Management Pricing Committee. Purchases and sales of securities, and income and expenses are converted at the rate of exchange on the respective dates of such transactions. 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 resulting from changes in exchange rates. The changes in net assets arising from changes in exchange rates of securities and the changes in net assets resulting from changes in market prices of securities are not separately presented. Such changes are included in net realized and unrealized gains or losses from investments.

When-issued transactions

The Fund may purchase securities on a forward commitment or when-issued basis. The Fund records a when-issued transaction on the trade date and will segregate assets in an amount at least equal in value to the Fund’s commitment to purchase when-issued securities. Securities purchased on a when-issued basis are marked-to-market daily and the Fund begins earning interest on the settlement date. Losses may arise due to changes in the market value of the underlying securities or if the counterparty does not perform under the contract.

Loans

The Fund may invest in direct debt instruments which are interests in amounts owed to lenders by corporate or other borrowers. The loans pay interest at rates which are periodically reset by reference to a base lending rate plus a spread. Investments in loans may be in the form of


participations in loans or assignments of all or a portion of loans from third parties. When the Fund purchases participations, it generally has no rights to enforce compliance with terms of the loan agreement with the borrower. As a result, the Fund assumes the credit risk of both the borrower and the lender that is selling the participation. When the Fund purchases assignments from lenders, it acquires direct rights against the borrower on the loan and may enforce compliance by the borrower with the terms of the loan agreement. Loans may include fully funded term loans or unfunded loan commitments, which are contractual obligations for future funding.

Fair valuation measurements

Fair value measurements of investments are determined within a framework that has established a fair value hierarchy based upon the various data inputs utilized in determining the value of the Fund’s investments. The three-level hierarchy gives the highest priority to unadjusted quoted prices in active markets for identical assets or liabilities (Level 1) and the lowest priority to unobservable inputs (Level 3). The Fund’s investments are classified within the fair value hierarchy based on the lowest level of input that is significant to the fair value measurement. The inputs are summarized into three broad levels as follows:

 

Level 1      quoted prices in active markets for identical securities
Level 2      other significant observable inputs (including quoted prices for similar securities, 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 investments in securities are not necessarily an indication of the risk associated with investing in those securities.

The following is a summary of the inputs used in valuing the Fund’s assets and liabilities as of January 31, 2018:

 

     Quoted
prices
(Level 1)
     Other
significant
observable
inputs

(Level 2)
     Significant
unobservable
inputs

(Level 3)
     Total  

Assets

           

Investments in :

           

Common stocks

           

France

   $ 8,423,860      $ 0      $ 0      $ 8,423,860  

Germany

     18,727,536        0        0        18,727,536  

Italy

     48,939,282        0        0        48,939,282  

Spain

     33,112,131        0        0        33,112,131  

Taiwan

     5,557,500        0        0        5,557,500  

United Kingdom

     11,020,013        0        0        11,020,013  

United States

     77,458,953        0        0        77,458,953  

Corporate bonds and notes

     0        60,724,581        0        60,724,581  

Loans

     0        496,764        1,013,750        1,510,514  

Preferred stocks

           

Canada

     7,040,250        0        0        7,040,250  

Hong Kong

     4,756,000        0        0        4,756,000  

Monaco

     6,086,800        0        0        6,086,800  

United Kingdom

     4,167,328        0        0        4,167,328  

United States

     24,651,494        3,467,859        0        28,119,353  

Rights

           

United States

     0        665,250        0        665,250  

Warrants

           

United States

     0        0        0        0  

Yankee corporate bonds and notes

     0        6,176,138        0        6,176,138  

Short-term investments

           

Investment companies

     5,079,814        0        0        5,079,814  
  

 

 

    

 

 

    

 

 

    

 

 

 

Total assets

   $ 255,020,961      $ 71,530,592      $ 1,013,750      $ 327,565,303  
  

 

 

    

 

 

    

 

 

    

 

 

 

The Fund recognizes transfers between levels within the fair value hierarchy at the end of the reporting period. At January 31, 2018, the Fund did not have any transfers into/out of Level 1. The Fund had no material transfers between Level 2 and Level 3.


ITEM 2.  CONTROLS AND PROCEDURES

(a) The President and Treasurer have concluded that the Wells Fargo Global Dividend Opportunity Fund (the “Fund”) 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 Fund 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 significant changes in the Fund’s internal controls over financial reporting (as defined in Rule 30a-3(d) under the Investment Company Act of 1940) that occurred during the last fiscal quarter that has materially affected, or is reasonably likely to materially affect, the registrant’s internal control over financial reporting.


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 Global Dividend Opportunity Fund
By:  

/s/ Andrew Owen

  Andrew Owen
  President
Date:   March 27, 2018

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 dates indicated.

 

Wells Fargo Global Dividend Opportunity Fund
By:  

/s/ Andrew Owen

  Andrew Owen
  President
Date:   March 27, 2018
By:  

/s/ Nancy Wiser

  Nancy Wiser
  Treasurer
Date:   March 27, 2018