Wells Fargo and Company (WFC) |
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Wells Fargo 's Suppliers Data
(in $ except Marketcap in Millions of $)
Select the Relationship:
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Select the Category:
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COMPANY NAME |
TICKER |
MARKET CAP |
REV./EMPLOYEE |
INC./EMPLOYEE |
Wells Fargo and Company |
WFC |
181,998 |
287,390 |
58,600 |
Nvr Inc |
NVR |
18,332 |
1,646,655 |
263,178 |
Dillard s inc |
DDS |
6,898 |
174,678 |
23,092 |
Adobe Inc |
ADBE |
178,623 |
701,057 |
214,159 |
Mastercard Incorporated |
MA |
361,945 |
1,030,286 |
465,905 |
Hubspot Inc |
HUBS |
17,581 |
783,576 |
-54,533 |
Marketaxess Holdings Inc |
MKTX |
12,994 |
2,068,637 |
711,061 |
Moody s Corporation |
MCO |
59,650 |
507,772 |
138,112 |
Accenture Plc |
ACN |
184,744 |
122,188 |
13,774 |
Microstrategy Incorporated |
MSTR |
3,220 |
226,185 |
-591,203 |
Cavco Industries Inc |
CVCO |
2,449 |
547,604 |
68,188 |
National Western Life Group Inc |
NWLI |
960 |
2,108,084 |
492,529 |
Norfolk Southern Corporation |
NSC |
59,397 |
632,318 |
162,235 |
Morningstar inc |
MORN |
10,606 |
465,573 |
32,214 |
General Dynamics Corporation |
GD |
64,064 |
387,835 |
34,270 |
Visa Inc |
V |
483,733 |
1,472,537 |
740,341 |
Equifax Inc |
EFX |
27,865 |
462,268 |
63,768 |
Boeing Co |
BA |
122,489 |
472,397 |
-35,837 |
American National Group Inc |
ANAT |
5,109 |
907,793 |
135,112 |
Cme Group Inc |
CME |
63,432 |
1,137,362 |
1,383,624 |
Spdr Gold Trust |
GLD |
64,388 |
- |
1,145,942,000 |
Salesforce Inc |
CRM |
171,040 |
511,306 |
59,306 |
Tableau Software Inc |
DATA |
14,700 |
352,944 |
-40,958 |
International Business Machines Corporation |
IBM |
123,807 |
158,853 |
3,311 |
Zscaler Inc |
ZS |
19,368 |
402,820 |
-126,857 |
Cboe Global Markets inc |
CBOE |
13,221 |
6,773,404 |
427,660 |
Lgi Homes Inc |
LGIH |
2,861 |
6,710,946 |
1,035,269 |
Invesco Currencyshares British Pound sterling Trus |
FXB |
112 |
488,728 |
-181,854 |
Meritage Homes Corp |
MTH |
4,187 |
1,226,258 |
686,506 |
Intercontinental Exchange Inc |
ICE |
60,340 |
1,297,125 |
199,414 |
Fiserv Inc |
FISV |
68,757 |
394,614 |
48,614 |
Lennar Corp |
LEN |
30,764 |
3,546,183 |
489,574 |
Splunk Inc |
SPLK |
17,050 |
893,576 |
-80,113 |
Invesco Currencyshares Euro Trust |
FXE |
354 |
- |
-2,434,915 |
D r Horton Inc |
DHI |
34,506 |
3,466,900 |
588,524 |
Ellie Mae Inc |
ELLI |
3,524 |
298,616 |
27,888 |
Invesco Currencyshares Swiss Franc Trust |
FXF |
239 |
- |
-2,683,390 |
Invesco Currencyshares Swedish Krona Trust |
FXS |
14 |
- |
-251,026 |
Stonex Group Inc. |
SNEX |
1,813 |
- |
- |
Oracle Corporation |
ORCL |
246,097 |
650,141 |
65,156 |
Super Micro Computer Inc |
SMCI |
4,735 |
- |
- |
Fidelity National Information Services Inc |
FIS |
45,762 |
263,400 |
17,200 |
Textron Inc |
TXT |
15,801 |
359,457 |
17,429 |
Invesco Currencyshares Canadian Dollar Trust |
FXC |
101 |
1,354,301 |
-360,042 |
Transunion |
TRU |
13,845 |
826,238 |
298,762 |
Hovnanian Enterprises Inc |
HOV |
556 |
1,406,271 |
108,513 |
Invesco Currencyshares Japanese Yen Trust |
FXY |
181 |
- |
-1,049,970 |
Invesco Currencyshares Singapore Dollar Trust |
FXSG |
4 |
39,936 |
25,541 |
Invesco Currencyshares Chinese Renminbi Trust |
FXCH |
3 |
4,350 |
-12,693 |
Voya Financial Inc |
VOYA |
7,358 |
- |
- |
Invesco Currencyshares Australian Dollar Trust |
FXA |
93 |
609,257 |
-369,895 |
Netapp Inc |
NTAP |
14,876 |
606,389 |
136,574 |
New Relic Inc |
NEWR |
4,346 |
664,107 |
-163,344 |
United States Oil Fund Lp |
USO |
2,501 |
1,312,462,882 |
1,293,229,185 |
Blackbaud Inc |
BLKB |
3,246 |
324,085 |
-9,807 |
Skyline Champion Corporation |
SKY |
3,559 |
1,979,948 |
254,448 |
Assured Guaranty ltd |
AGO |
3,785 |
2,313,333 |
1,123,333 |
Mi Homes Inc |
MHO |
1,745 |
3,934,668 |
469,891 |
Ss and c Technologies Holdings Inc |
SSNC |
16,077 |
632,183 |
83,577 |
Black Knight inc |
BKI |
9,495 |
242,906 |
76,297 |
Fbl Financial Group Inc |
FFG |
1,494 |
481,630 |
62,855 |
Toll Brothers Inc |
TOL |
7,169 |
2,813,678 |
360,932 |
Nasdaq Inc |
NDAQ |
30,172 |
1,239,434 |
249,237 |
Century Communities Inc |
CCS |
1,992 |
8,835,129 |
1,029,659 |
Cloudflare Inc |
NET |
19,409 |
366,450 |
-92,199 |
Luxoft Holding, Inc |
LXFT |
2,020 |
70,841 |
4,454 |
Pultegroup Inc |
PHM |
13,659 |
2,962,365 |
456,916 |
Bottomline Technologies Inc |
EPAY |
2,438 |
316,473 |
-22,725 |
United States Gasoline Fund Lp |
UGA |
100 |
23,659,048 |
22,667,152 |
United States Commodity Index Funds Trust |
USCI |
314 |
58,866,382 |
107,333,338 |
Calatlantic Group, Inc. |
CAA |
6,611 |
859,941 |
60,461 |
Invesco Db Gold Fund |
DGL |
0 |
- |
-6,752,683 |
Value Line Inc |
VALU |
488 |
219,809 |
102,298 |
Cisco Systems Inc |
CSCO |
200,161 |
674,697 |
148,413 |
Franklin Covey Co |
FC |
705 |
288,246 |
20,516 |
Invesco Db Precious Metals Fund |
DBP |
0 |
- |
-9,017,508 |
American Equity Investment Life Holding Co |
AEL |
4,240 |
3,816,955 |
2,719,463 |
Oppenheimer Holdings Inc. |
OPY |
564 |
359,790 |
28,634 |
United States Short Oil Fund, Lp |
DNO |
9 |
- |
-2,604,410 |
Blackhawk Network Holdings, Inc |
HAWK |
2,550 |
966,786 |
-67,402 |
Ca, Inc. |
CA |
17,509 |
365,086 |
41,034 |
Appian Corporation |
APPN |
3,168 |
634,316 |
-201,913 |
Dell Technologies Inc |
DELL |
31,360 |
- |
- |
M d c Holdings Inc |
MDC |
2,956 |
- |
- |
Kb Home |
KBH |
3,527 |
4,175,436 |
487,101 |
H and r Block Inc |
HRB |
6,249 |
1,568,469 |
244,025 |
Cowen Inc |
COWN |
1,257 |
2,095,290 |
138,642 |
Cpi Card Group Inc |
PMTS |
441 |
388,735 |
17,847 |
Synchrony Financial |
SYF |
17,441 |
795,818 |
194,545 |
Taylor Morrison Home Corp |
TMHC |
4,152 |
72,937,796 |
9,411,929 |
Ishares Commodity Optimized Trust |
CMDT |
13 |
173,997 |
253,241 |
Horace Mann Educators Corporation |
HMN |
1,528 |
1,003,630 |
87,407 |
Ishares Gold Trust |
IAU |
29,742 |
537,318,623 |
-1,348,739,771 |
Q2 Holdings Inc |
QTWO |
1,973 |
652,870 |
-120,797 |
United States 12 month Oil Fund Lp |
USL |
101 |
35,178,251 |
33,954,756 |
Green Brick Partners Inc |
GRBK |
1,507 |
- |
- |
United Fire Group Inc |
UFCS |
797 |
920,174 |
49,807 |
Fidelity & Guaranty Life |
FGL |
1,532 |
7,204,545 |
1,104,545 |
Hp Inc |
HPQ |
32,041 |
1,188,358 |
60,434 |
Ncino Inc |
NCNO |
3,382 |
222,537 |
-46,292 |
Invesco Db Silver Fund |
DBS |
0 |
- |
-2,840,426 |
Investment Technology Group, Inc. |
ITG |
1,028 |
476,705 |
-38,925 |
Pure Storage Inc. |
PSTG |
9,353 |
- |
- |
Nutanix Inc |
NTNX |
6,683 |
581,546 |
-169,499 |
Wabash National Corporation |
WNC |
1,441 |
455,678 |
8,991 |
Ncr Corp |
NCR |
3,983 |
260,563 |
4,636 |
Aci Worldwide Inc |
ACIW |
3,220 |
361,127 |
40,568 |
Invesco Db Us Dollar Index Bullish fund |
UUP |
0 |
204,581,533 |
237,376,656 |
Kansas City Life Insurance Co |
KCLI |
292 |
1,109,158 |
67,814 |
Jfrog Ltd |
FROG |
2,654 |
262,730 |
-89,724 |
United States Brent Oil Fund Lp |
BNO |
190 |
95,178 |
7,279,260 |
Invesco Db G10 Currency Harvest fund |
DBV |
0 |
1,804,831 |
1,001,570 |
Utg Inc |
UTGN |
79 |
1,191,853 |
459,256 |
Nobility Homes Inc |
NOBH |
85 |
308,447 |
40,552 |
William Lyon Homes |
WLH |
957 |
3,616,554 |
179,270 |
Invesco Db Commodity Index Tracking Fund |
DBC |
0 |
1,095,175,326 |
492,386,056 |
Attunity Ltd |
ATTU |
517 |
336,910 |
23,270 |
Tri Pointe Homes Inc |
TPH |
2,328 |
4,781,380 |
506,230 |
Jamf Holding Corp |
JAMF |
2,664 |
251,008 |
-80,744 |
News Corporation |
NWSA |
12,097 |
440,894 |
23,787 |
Invesco Db Base Metals Fund |
DBB |
0 |
48,367,626 |
-58,948,757 |
United States Diesel-heating Oil Fund, Lp |
UHN |
7 |
1,357,558 |
1,317,015 |
Ishares Silver Trust |
SLV |
10,880 |
- |
-1,523,308,577 |
Deluxe Corporation |
DLX |
885 |
421,280 |
11,328 |
Invesco Db Energy Fund |
DBE |
0 |
79,390,357 |
36,987,637 |
Covanta Holding Corporation |
CVA |
2,793 |
- |
- |
Invesco Db Agriculture Fund |
DBA |
0 |
66,607,105 |
-48,465,707 |
Kcg Holdings, Inc. |
KCG |
1,353 |
1,356,224 |
220,421 |
Ishares S and p Gsci Commodity indexed Trust |
GSG |
1,515 |
10,583,100 |
367,195,180 |
Virtu Financial inc |
VIRT |
1,991 |
17,382,757 |
4,153,054 |
Green Dot Corp |
GDOT |
1,035 |
1,429,479 |
64,884 |
Clearwater Analytics Holdings Inc |
CWAN |
4,603 |
211,845 |
-3,376 |
Futures Portfolio Fund L p |
FPF |
1 |
48,425,355 |
31,408,170 |
Extreme Networks Inc |
EXTR |
2,592 |
- |
- |
Invesco Db Us Dollar Index Bearish Fund |
UDN |
0 |
- |
-9,787,868 |
Wisdomtree Continuous Commodity Index Master Fund |
GCC |
0 |
- |
-3,237,583 |
Sharpspring Inc |
SHSP |
220 |
124,239 |
-27,233 |
Meridianlink inc. |
MLNK |
1,396 |
163,701 |
4,701 |
Alkami Technology Inc |
ALKT |
1,546 |
286,607 |
-31,396 |
Uipath Inc |
PATH |
9,303 |
259,090 |
-90,649 |
Midwest Holding Inc |
MDWT |
64 |
- |
- |
Domo Inc |
DOMO |
578 |
273,973 |
-110,703 |
National Security Group Inc. |
NSEC |
41 |
66,131,000 |
823,000 |
Hewlett Packard Enterprise Co |
HPE |
21,476 |
479,731 |
14,613 |
Beazer Homes Usa Inc |
BZH |
470 |
2,168,028 |
197,695 |
Amplitude Inc |
AMPL |
1,682 |
362,433 |
-147,601 |
Invesco Db Oil Fund |
DBO |
0 |
161,751,064 |
65,716,011 |
Grid Dynamics Holdings Inc |
GDYN |
916 |
90,545 |
-7,977 |
United States 12 month Natural Gas Fund Lp |
UNL |
24 |
7,650,143 |
7,368,550 |
Sumo Logic Inc |
SUMO |
1,439 |
265,988 |
-95,870 |
Enfusion inc |
ENFN |
1,581 |
90,568 |
-19,444 |
Ucp, Inc. |
UCP |
-181 |
2,381,191 |
94,092 |
Walkme Ltd |
WKME |
0 |
- |
- |
Sprinklr Inc |
CXM |
2,764 |
215,564 |
-51,324 |
Achari Ventures Holdings Corp I |
AVHI |
131 |
3,996,243 |
7,894 |
Zeta Global Holdings Corp |
ZETA |
1,378 |
135,141 |
-44,236 |
New Home Co Inc |
NWHM |
166 |
2,124,359 |
22,338 |
Upland Software Inc |
UPLD |
284 |
837,925 |
-141,888 |
Momentive Global Inc |
MNTV |
1,202 |
297,416 |
-79,825 |
Gain Capital Holdings Inc |
GCAP |
227 |
496,620 |
58,209 |
Unisys Corp |
UIS |
391 |
84,578 |
-10,586 |
Cellebrite Di Ltd |
CLBT |
895 |
246,246 |
70,433 |
Vanjia Corporation |
VNJA |
155 |
23,002 |
2,253 |
Pitney Bowes Inc |
PBI |
849 |
340,855 |
3,010 |
Bgc Partners Inc |
BGCP |
1,622 |
232,161 |
17,948 |
Lesaka Technologies Inc. |
LSAK |
256 |
- |
- |
Cognyte Software Ltd |
CGNT |
251 |
225,734 |
-4,884 |
Intersections Inc |
INTX |
89 |
435,884 |
-27,953 |
China United Insurance Service Inc |
CUII |
106 |
44,600 |
7,576 |
Intrusion Inc |
INTZ |
69 |
- |
- |
Netsol Technologies Inc |
NTWK |
36 |
38,695 |
77 |
Tuya Inc |
TUYA |
1,350 |
87,054 |
-50,554 |
Citizens Inc |
CIA |
131 |
379,335 |
45,363 |
Atlantic American Corp |
AAME |
49 |
1,308,517 |
21,388 |
Blend Labs Inc |
BLND |
482 |
41,910 |
-362,228 |
Skillsoft Corp |
SKIL |
325 |
207,230 |
-228,287 |
Quantum Corp |
QMCO |
155 |
- |
- |
Bridgeline Digital Inc |
BLIN |
13 |
251,030 |
32,015 |
Deer Valley Corp |
DVLY |
0 |
- |
0 |
Alpine 4 Holdings Inc. |
ALPP |
127 |
- |
- |
Federal Home Loan Mortgage Corporation |
FMCC |
1,552 |
4,312,408 |
2,310,561 |
Federal National Mortgage Association Fannie Mae |
FNMA |
2,763 |
3,858,289 |
2,195,526 |
American Church Mortgage Company |
ACMC |
0 |
- |
-768,324 |
Mcx Technologies Corporation |
MCCX |
1 |
75,950 |
-143,000 |
Cleartronic Inc |
CLRI |
18 |
254,633 |
65,620 |
Bravatek Solutions, Inc. |
BVTK |
0 |
1,921,867 |
-5,589,467 |
Indo Global Exchange s Pte Ltd |
IGEX |
2 |
10,455 |
0 |
Debt Resolve Inc |
DRSV |
0 |
3,627,081 |
278,219 |
Federal Home Loan Bank Of Atlanta |
FHLBAT |
0 |
1,378,981 |
308,917 |
Federal Home Loan Bank Of Pittsburgh |
FHLBPI |
0 |
938,343 |
433,986 |
Bf Garden Tax Credit Fund Iv l p |
BCTC4 |
0 |
214,670 |
5,028,351 |
Bf Garden Tax Credit Fund V L.p. |
BCTC5 |
0 |
138,908 |
7,837,256 |
Symetra Financial Corporation |
SYA |
0 |
1,508,143 |
149,929 |
Boston Capital Tax Credit Fund Ltd Partnership |
BCTCI |
0 |
- |
- |
Boston Capital Tax Credit Fund Iii L P |
BCTCIII |
0 |
43,295 |
-88,972 |
Nuveen Long |
CTF |
0 |
- |
0 |
Wisdomtree Coal Fund |
TONS |
0 |
- |
0 |
Seneca Global Fund, L.p. |
SENE |
0 |
- |
0 |
Nuveen Diversified Commodity Fund |
CFD |
0 |
- |
0 |
Ryland Group Inc |
RYL |
0 |
1,425,270 |
252,467 |
Lexmark International Inc |
LXK |
0 |
- |
0 |
First Trinity Financial Corp |
FTFC |
0 |
7,086,699 |
604,512 |
Wci Communities, Inc. |
WCIC |
0 |
- |
0 |
Phoenix Companies Inc |
PNX |
0 |
- |
0 |
Currencyshares South African Rand Trust |
FXSA |
0 |
- |
- |
Amerinst Insurance Group Ltd |
AIGT |
0 |
113,372 |
-88,301 |
Federal Home Loan Bank Of Des Moines |
FHLBDM |
0 |
2,177,122 |
907,749 |
Federal Home Loan Bank Of Indianapolis |
FHLBIN |
0 |
1,066,112 |
503,720 |
AVERAGE |
SUBTOTAL |
3,297,693 |
532,651 |
66,824 |
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