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 Utilities and High Income 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: August 31

Registrant is making a filing for Wells Fargo Utilities and High Income Fund.

Date of reporting period: November 30, 2017

 

 

 


ITEM 1. INVESTMENTS

 


 Wells Fargo Utilities and High Income Fund    Portfolio of investments — November 30, 2017 (unaudited)  

 

Security name    Shares      Value  

Common Stocks : 64.66%

     

Consumer Discretionary : 4.72%

     

Media : 4.72%

     

Antena 3 de Television SA

     525,000      $ 6,030,101  
     

 

 

 

Energy : 0.01%

     

Oil, Gas & Consumable Fuels : 0.01%

     

SilverBow Resources Incorporated †

     725        16,414  
     

 

 

 

Telecommunication Services : 4.35%

     

Diversified Telecommunication Services : 1.65%

     

Verizon Communications Incorporated

     41,291        2,101,299  
     

 

 

 

Wireless Telecommunication Services : 2.70%

     

Shenandoah Telecommunications Company

     90,000        3,451,500  
     

 

 

 

Utilities : 55.58%

     

Electric Utilities : 46.99%

     

Alliant Energy Corporation

     8,000        360,880  

American Electric Power Company Incorporated

     120,000        9,315,600  

Edison International

     60,000        4,876,200  

Entergy Corporation

     1,000        86,480  

Eversource Energy

     80,000        5,188,000  

Exelon Corporation

     116,001        4,838,402  

FirstEnergy Corporation

     200,000        6,828,000  

Great Plains Energy Incorporated

     100,000        3,431,000  

IDACORP Incorporated

     25,000        2,470,250  

NextEra Energy Incorporated

     35,000        5,531,400  

PG&E Corporation

     75,000        4,068,000  

PNM Resources Incorporated

     175,000        7,962,500  

Red Electrica Corporacion SA

     200,000        4,517,697  

Spark Energy Incorporated Class A

     44,138        551,725  
        60,026,134  
     

 

 

 

Gas Utilities : 0.04%

     

Chesapeake Utilities Corporation

     300        25,665  

New Jersey Resources Corporation

     400        17,840  

South Jersey Industries Incorporated

     400        13,544  
        57,049  
     

 

 

 

Multi-Utilities : 8.55%

     

CenterPoint Energy Incorporated

     50,000        1,500,500  

Dominion Resources Incorporated

     300        25,239  

Hera SpA

     900,000        3,236,327  

MDU Resources Group Incorporated

     500        13,975  

Public Service Enterprise Group Incorporated

     50,000        2,653,000  

SCANA Corporation

     25,000        1,079,250  

Sempra Energy

     19,900        2,407,701  
        10,915,992  
     

 

 

 

Total Common Stocks (Cost $58,335,098)

        82,598,489  
     

 

 

 

 

1


 Portfolio of investments — November 30, 2017 (unaudited)    Wells Fargo Utilities and High Income Fund  

 

Security name    Interest rate     Maturity date      Principal      Value  

Corporate Bonds and Notes : 27.88%

          

Consumer Discretionary : 6.23%

          

Auto Components : 0.62%

          

Allison Transmission Incorporated 144A

     4.75     10-1-2027      $ 75,000      $ 75,656  

Allison Transmission Incorporated 144A

     5.00       10-1-2024        400,000        416,620  

Cooper Tire & Rubber Company

     7.63       3-15-2027        257,000        293,623  
             785,899  
          

 

 

 

Distributors : 0.12%

          

LKQ Corporation

     4.75       5-15-2023        125,000        127,938  

Spectrum Brands Incorporated

     6.63       11-15-2022        25,000        25,938  
             153,876  
          

 

 

 

Diversified Consumer Services : 0.47%

          

Service Corporation International

     7.50       4-1-2027        400,000        475,000  

Service Corporation International

     7.63       10-1-2018        25,000        26,031  

Service Corporation International

     8.00       11-15-2021        85,000        98,813  
             599,844  
          

 

 

 

Hotels, Restaurants & Leisure : 0.48%

          

Brinker International Incorporated 144A

     5.00       10-1-2024        50,000        50,125  

CCM Merger Incorporated 144A

     6.00       3-15-2022        425,000        436,688  

Pinnacle Entertainment Incorporated

     5.63       5-1-2024        25,000        25,938  

Speedway Motorsports Incorporated

     5.13       2-1-2023        100,000        103,250  
             616,001  
          

 

 

 

Media : 3.12%

          

Altice US Finance I Corporation 144A

     5.38       7-15-2023        200,000        203,500  

Altice US Finance I Corporation 144A

     5.50       5-15-2026        100,000        101,250  

CBS Radio Incorporated 144A

     7.25       11-1-2024        5,000        5,263  

CCO Holdings LLC 144A

     5.00       2-1-2028        25,000        24,375  

CCO Holdings LLC

     5.13       2-15-2023        100,000        102,500  

CCO Holdings LLC 144A

     5.13       5-1-2023        135,000        139,725  

CCO Holdings LLC 144A

     5.13       5-1-2027        50,000        49,531  

CCO Holdings LLC

     5.25       9-30-2022        90,000        92,475  

CCO Holdings LLC 144A

     5.38       5-1-2025        335,000        343,794  

CCO Holdings LLC 144A

     5.50       5-1-2026        5,000        5,100  

CCO Holdings LLC 144A

     5.75       2-15-2026        275,000        285,313  

CCO Holdings LLC 144A

     5.88       4-1-2024        125,000        130,938  

Cequel Communications Holdings I LLC 144A

     7.75       7-15-2025        100,000        106,500  

CSC Holdings LLC

     7.88       2-15-2018        75,000        75,563  

CSC Holdings LLC

     8.63       2-15-2019        125,000        132,188  

E.W. Scripps Company 144A

     5.13       5-15-2025        275,000        274,313  

EMI Music Publishing Group 144A

     7.63       6-15-2024        150,000        165,750  

Gray Television Incorporated 144A

     5.13       10-15-2024        100,000        99,625  

Gray Television Incorporated 144A

     5.88       7-15-2026        325,000        329,875  

Lamar Media Corporation

     5.38       1-15-2024        50,000        52,500  

Lamar Media Corporation

     5.88       2-1-2022        75,000        76,781  

Lin Television Corporation

     5.88       11-15-2022        25,000        26,031  

Live Nation Entertainment Incorporated 144A

     4.88       11-1-2024        100,000        103,000  

Live Nation Entertainment Incorporated 144A

     5.38       6-15-2022        25,000        25,875  

National CineMedia LLC

     6.00       4-15-2022        300,000        303,750  

Nexstar Broadcasting Group Incorporated 144A

     5.63       8-1-2024        75,000        76,688  

Nexstar Broadcasting Group Incorporated 144A

     6.13       2-15-2022        150,000        155,250  

Nielsen Finance LLC 144A

     5.00       4-15-2022        75,000        77,201  

Outfront Media Capital Corporation

     5.25       2-15-2022        15,000        15,422  

Outfront Media Capital Corporation

     5.63       2-15-2024        29,000        30,450  

Outfront Media Capital Corporation

     5.88       3-15-2025        65,000        68,575  

 

2


 Wells Fargo Utilities and High Income Fund    Portfolio of investments — November 30, 2017 (unaudited)  

 

Security name    Interest rate     Maturity date      Principal      Value  

Media (continued)

 

Salem Media Group Incorporated 144A

     6.75     6-1-2024      $ 300,000      $ 301,875  
             3,980,976  
          

 

 

 

Specialty Retail : 1.30%

          

Asbury Automotive Group Incorporated

     6.00       12-15-2024        350,000        364,875  

Group 1 Automotive Incorporated

     5.00       6-1-2022        125,000        128,906  

Group 1 Automotive Incorporated 144A

     5.25       12-15-2023        95,000        98,325  

Lithia Motors Incorporated 144A

     5.25       8-1-2025        350,000        367,500  

Penske Auto Group Incorporated

     3.75       8-15-2020        50,000        50,813  

Penske Auto Group Incorporated

     5.38       12-1-2024        300,000        304,500  

Penske Auto Group Incorporated

     5.75       10-1-2022        99,000        101,970  

Sonic Automotive Incorporated

     5.00       5-15-2023        145,000        140,650  

Sonic Automotive Incorporated

     6.13       3-15-2027        100,000        100,500  
             1,658,039  
          

 

 

 

Textiles, Apparel & Luxury Goods : 0.12%

          

Wolverine World Wide Company 144A

     5.00       9-1-2026        160,000        158,400  
          

 

 

 

Consumer Staples : 0.36%

          

Beverages : 0.08%

 

Cott Beverages Incorporated

     5.38       7-1-2022        50,000        52,000  

Cott Beverages Incorporated 144A

     5.50       4-1-2025        50,000        51,525  
             103,525  
          

 

 

 

Food Products : 0.24%

          

B&G Foods Incorporated

     4.63       6-1-2021        30,000        30,459  

B&G Foods Incorporated

     5.25       4-1-2025        75,000        76,680  

Darling Ingredients Incorporated

     5.38       1-15-2022        15,000        15,413  

Pilgrim’s Pride Corporation 144A

     5.75       3-15-2025        110,000        115,445  

Pilgrim’s Pride Corporation 144A

     5.88       9-30-2027        25,000        26,188  

Prestige Brands Incorporated 144A

     6.38       3-1-2024        10,000        10,425  

US Foods Incorporated 144A

     5.88       6-15-2024        30,000        31,500  
             306,110  
          

 

 

 

Household Products : 0.04%

          

Central Garden & Pet Company

     6.13       11-15-2023        20,000        21,250  

Spectrum Brands Incorporated

     5.75       7-15-2025        25,000        26,250  
             47,500  
          

 

 

 

Energy : 7.21%

          

Energy Equipment & Services : 2.08%

          

Bristow Group Incorporated

     6.25       10-15-2022        325,000        261,430  

Diamond Offshore Drilling Incorporated

     4.88       11-1-2043        75,000        54,750  

Era Group Incorporated

     7.75       12-15-2022        215,000        206,938  

Hilcorp Energy Company 144A

     5.00       12-1-2024        150,000        150,375  

Hilcorp Energy Company 144A

     5.75       10-1-2025        175,000        180,303  

Hornbeck Offshore Services Incorporated

     1.50       9-1-2019        350,000        263,375  

Hornbeck Offshore Services Incorporated

     5.00       3-1-2021        150,000        80,625  

Hornbeck Offshore Services Incorporated

     5.88       4-1-2020        235,000        155,100  

NGPL PipeCo LLC 144A

     4.38       8-15-2022        25,000        25,625  

NGPL PipeCo LLC 144A

     4.88       8-15-2027        50,000        51,909  

NGPL PipeCo LLC 144A

     7.77       12-15-2037        650,000        802,715  

 

3


 Portfolio of investments — November 30, 2017 (unaudited)    Wells Fargo Utilities and High Income Fund  

 

Security name    Interest rate     Maturity date      Principal      Value  

Energy Equipment & Services (continued)

 

PHI Incorporated

     5.25     3-15-2019      $ 430,000      $ 425,700  
             2,658,845  
          

 

 

 

Oil, Gas & Consumable Fuels : 5.13%

 

Andeavor Logistics LP

     5.25       1-15-2025        50,000        52,750  

Archrock Partners LP

     6.00       10-1-2022        75,000        74,813  

Carrizo Oil & Gas Incorporated

     8.25       7-15-2025        75,000        81,375  

Cheniere Energy Incorporated 144A

     5.25       10-1-2025        400,000        410,500  

Continental Resources Incorporated

     3.80       6-1-2024        100,000        98,500  

Continental Resources Incorporated

     5.00       9-15-2022        25,000        25,469  

DCP Midstream Operating Company

     2.70       4-1-2019        75,000        74,531  

Denbury Resources Incorporated

     4.63       7-15-2023        150,000        90,750  

Denbury Resources Incorporated

     6.38       8-15-2021        285,000        205,200  

Enable Midstream Partner LP

     2.40       5-15-2019        275,000        273,465  

Enable Midstream Partner LP

     3.90       5-15-2024        150,000        150,511  

Enable Oklahoma Intrastate Transmission LLC 144A

     6.25       3-15-2020        50,000        52,870  

EnLink Midstream LLC

     4.15       6-1-2025        225,000        226,556  

EnLink Midstream LLC

     4.40       4-1-2024        300,000        308,869  

Exterran Partners LP

     6.00       4-1-2021        300,000        298,500  

Gulfport Energy Corporation

     6.00       10-15-2024        75,000        75,281  

Gulfport Energy Corporation

     6.63       5-1-2023        150,000        153,375  

Kinder Morgan Incorporated

     6.50       9-15-2020        45,000        49,382  

Kinder Morgan Incorporated

     7.42       2-15-2037        90,000        105,908  

Matador Resources Company

     6.88       4-15-2023        25,000        26,375  

Murphy Oil Corporation

     4.70       12-1-2022        175,000        175,219  

Murphy Oil Corporation

     5.75       8-15-2025        15,000        15,488  

Murphy Oil Corporation

     6.88       8-15-2024        50,000        53,813  

Nabors Industries Limited

     0.75       1-15-2024        125,000        92,813  

Overseas Shipholding Group Incorporated

     8.13       3-30-2018        175,000        178,500  

PDC Energy Incorporated

     6.13       9-15-2024        50,000        52,219  

Rockies Express Pipeline LLC 144A

     5.63       4-15-2020        325,000        340,438  

Rockies Express Pipeline LLC 144A

     6.88       4-15-2040        250,000        281,563  

Rockies Express Pipeline LLC 144A

     7.50       7-15-2038        55,000        64,075  

Rose Rock Midstream LP

     5.63       7-15-2022        100,000        99,250  

Rose Rock Midstream LP

     5.63       11-15-2023        75,000        72,938  

Sabine Pass Liquefaction LLC

     5.63       2-1-2021        125,000        134,303  

Sabine Pass Liquefaction LLC

     5.63       4-15-2023        165,000        181,549  

Sabine Pass Liquefaction LLC

     5.63       3-1-2025        50,000        55,021  

Sabine Pass Liquefaction LLC

     5.75       5-15-2024        75,000        83,197  

Sabine Pass Liquefaction LLC

     6.25       3-15-2022        200,000        223,459  

SemGroup Corporation 144A

     6.38       3-15-2025        275,000        272,938  

SemGroup Corporation 144A

     7.25       3-15-2026        150,000        153,375  

Southern Star Central Corporation 144A

     5.13       7-15-2022        75,000        77,719  

Southwestern Energy Company

     4.10       3-15-2022        75,000        73,688  

Southwestern Energy Company

     7.50       4-1-2026        50,000        53,688  

Southwestern Energy Company

     7.75       10-1-2027        50,000        53,500  

Summit Midstream Holdings LLC

     5.75       4-15-2025        25,000        25,063  

Tallgrass Energy Partners LP 144A

     5.50       9-15-2024        600,000        622,500  

Tesoro Logistics LP

     6.13       10-15-2021        25,000        25,766  

Tesoro Logistics LP

     6.38       5-1-2024        25,000        27,225  

Ultra Resources Incorporated 144A

     6.88       4-15-2022        50,000        50,475  

Ultra Resources Incorporated 144A

     7.13       4-15-2025        150,000        150,000  

Western Gas Partners LP

     5.38       6-1-2021        25,000        26,593  
             6,551,355  
          

 

 

 

Financials : 2.63%

 

Consumer Finance : 1.16%

 

Ally Financial Incorporated

     8.00       12-31-2018        75,000        78,938  

Ally Financial Incorporated

     8.00       3-15-2020        203,000        226,345  

FirstCash Incorporated 144A

     5.38       6-1-2024        100,000        104,000  

Navient Corporation

     8.00       3-25-2020        175,000        190,750  

 

4


 Wells Fargo Utilities and High Income Fund    Portfolio of investments — November 30, 2017 (unaudited)  

 

Security name    Interest rate     Maturity date      Principal      Value  

Consumer Finance (continued)

          

Navient Corporation

     8.45     6-15-2018      $ 125,000      $ 128,875  

OneMain Financial Group LLC 144A

     7.25       12-15-2021        300,000        311,460  

Springleaf Finance Corporation

     6.00       6-1-2020        100,000        104,625  

Springleaf Finance Corporation

     6.90       12-15-2017        243,000        243,097  

Springleaf Finance Corporation

     7.75       10-1-2021        25,000        27,688  

Springleaf Finance Corporation

     8.25       10-1-2023        65,000        71,825  
             1,487,603  
          

 

 

 

Diversified Financial Services : 0.89%

 

Infinity Acquisition LLC 144A

     7.25       8-1-2022        75,000        75,000  

Ladder Capital Securities LLC 144A

     5.25       10-1-2025        25,000        24,938  

LPL Holdings Incorporated 144A

     5.75       9-15-2025        775,000        797,281  

NewStar Financial Incorporated

     7.25       5-1-2020        155,000        160,813  

Tempo Acquisition LLC 144A

     6.75       6-1-2025        75,000        75,469  
             1,133,501  
          

 

 

 

Insurance : 0.58%

 

Acrisure LLC 144A

     7.00       11-15-2025        75,000        73,969  

Hub Holdings LLC (PIK at 8.88%) 144A¥

     8.13       7-15-2019        175,000        175,219  

Hub International Limited 144A

     7.88       10-1-2021        325,000        338,000  

USIS Merger Subordinate Incorporated 144A

     6.88       5-1-2025        150,000        151,875  
             739,063  
          

 

 

 

Health Care : 2.50%

 

Health Care Equipment & Supplies : 0.59%

 

Community Health Systems Incorporated

     5.13       8-1-2021        125,000        116,875  

Hill-Rom Holdings Incorporated 144A

     5.00       2-15-2025        50,000        50,875  

Hill-Rom Holdings Incorporated 144A

     5.75       9-1-2023        25,000        26,188  

Hologic Incorporated 144A

     4.38       10-15-2025        50,000        51,125  

Hologic Incorporated 144A

     5.25       7-15-2022        90,000        93,938  

Kinetics Concepts Incorporated 144A

     7.88       2-15-2021        200,000        209,480  

Surgery Center Holdings Incorporated 144A

     6.75       7-1-2025        50,000        45,500  

Surgery Center Holdings Incorporated 144A

     8.88       4-15-2021        150,000        151,125  
             745,106  
          

 

 

 

Health Care Providers & Services : 1.58%

 

Acadia Healthcare Company Incorporated

     6.50       3-1-2024        20,000        20,650  

Community Health Systems Incorporated

     6.25       3-31-2023        75,000        70,125  

HCA Incorporated

     5.88       3-15-2022        25,000        27,094  

HCA Incorporated

     6.50       2-15-2020        325,000        348,969  

HealthSouth Corporation

     5.75       9-15-2025        75,000        77,813  

Mednax Incorporated 144A

     5.25       12-1-2023        50,000        51,250  

MPH Acquisition Holdings LLC 144A

     7.13       6-1-2024        250,000        268,438  

MPT Operating Partnership LP

     5.00       10-15-2027        100,000        104,250  

MPT Operating Partnership LP

     5.25       8-1-2026        100,000        105,250  

MPT Operating Partnership LP

     6.38       3-1-2024        10,000        10,800  

Polaris Intermediate Corporation 144A

     8.50       12-1-2022        50,000        52,020  

Select Medical Corporation

     6.38       6-1-2021        315,000        323,269  

Tenet Healthcare Corporation 144A

     4.63       7-15-2024        118,000        116,230  

Tenet Healthcare Corporation

     6.00       10-1-2020        75,000        79,031  

Vizient Incorporated 144A

     10.38       3-1-2024        325,000        367,250  
             2,022,439  
          

 

 

 

Health Care Technology : 0.26%

 

Change Healthcare Holdings Incorporated 144A

     5.75       3-1-2025        250,000        253,125  

 

5


 Portfolio of investments — November 30, 2017 (unaudited)    Wells Fargo Utilities and High Income Fund  

 

Security name    Interest rate     Maturity date      Principal      Value  

Health Care Technology (continued)

          

Quintiles IMS Holdings Incorporated 144A

     4.88     5-15-2023      $ 75,000      $ 77,625  
             330,750  
          

 

 

 

Pharmaceuticals : 0.07%

          

Endo Finance LLC 144A

     5.38       1-15-2023        50,000        39,000  

Endo Finance LLC 144A

     5.75       1-15-2022        65,000        53,625  
             92,625  
          

 

 

 

Industrials : 1.29%

          

Aerospace & Defense : 0.02%

          

RBS Global Incorporated & Rexnord LLC 144A%%

     4.88       12-15-2025        25,000        25,000  
          

 

 

 

Airlines : 0.09%

          

Aviation Capital Group Corporation 144A

     6.75       4-6-2021        100,000        111,731  
          

 

 

 

Commercial Services & Supplies : 1.14%

          

Acco Brands Corporation 144A

     5.25       12-15-2024        25,000        26,031  

Advanced Disposal Services Incorporated 144A

     5.63       11-15-2024        250,000        258,125  

Aramark Services Incorporated

     5.13       1-15-2024        60,000        63,300  

Covanta Holding Corporation

     5.88       3-1-2024        185,000        186,850  

Covanta Holding Corporation

     5.88       7-1-2025        75,000        75,000  

Covanta Holding Corporation

     6.38       10-1-2022        195,000        199,875  

KAR Auction Services Incorporated 144A

     5.13       6-1-2025        550,000        568,563  

Plastipak Holdings Incorporated 144A

     6.25       10-15-2025        50,000        50,875  

Wrangler Buyer Corporation 144A

     6.00       10-1-2025        25,000        25,375  
             1,453,994  
          

 

 

 

Professional Services : 0.01%

          

Ascent Capital Group Incorporated

     4.00       7-15-2020        25,000        19,688  
          

 

 

 

Trading Companies & Distributors : 0.03%

          

International Lease Finance Corporation 144A

     7.13       9-1-2018        35,000        36,266  
          

 

 

 

Information Technology : 2.90%

          

Communications Equipment : 0.06%

          

CommScope Technologies Finance LLC 144A

     6.00       6-15-2025        75,000        80,250  
          

 

 

 

Electronic Equipment, Instruments & Components : 0.53%

          

Jabil Circuit Incorporated

     8.25       3-15-2018        620,000        628,711  

Zebra Technologies Corporation

     7.25       10-15-2022        46,000        48,507  
             677,218  
          

 

 

 

Internet Software & Services : 0.41%

          

Infor Software Parent LLC (PIK at 7.88%) 144A¥

     7.13       5-1-2021        75,000        76,875  

Infor U.S. Incorporated

     6.50       5-15-2022        50,000        51,500  

Zayo Group LLC 144A

     5.75       1-15-2027        125,000        128,750  

Zayo Group LLC

     6.38       5-15-2025        250,000        264,375  
             521,500  
          

 

 

 

IT Services : 0.71%

          

Cardtronics Incorporated

     5.13       8-1-2022        125,000        121,875  

Cardtronics Incorporated 144A

     5.50       5-1-2025        150,000        137,625  

First Data Corporation 144A

     5.00       1-15-2024        125,000        129,375  

First Data Corporation 144A

     5.38       8-15-2023        25,000        25,938  

First Data Corporation 144A

     5.75       1-15-2024        95,000        98,563  

First Data Corporation 144A

     7.00       12-1-2023        150,000        158,719  

 

6


 Wells Fargo Utilities and High Income Fund    Portfolio of investments — November 30, 2017 (unaudited)  

 

Security name    Interest rate     Maturity date      Principal      Value  

IT Services (continued)

          

Gartner Incorporated 144A

     5.13     4-1-2025      $ 225,000      $ 235,125  
             907,220  
          

 

 

 

Semiconductors & Semiconductor Equipment : 0.08%

          

Micron Technology Incorporated 144A

     5.25       1-15-2024        75,000        78,188  

Micron Technology Incorporated

     5.50       2-1-2025        29,000        30,604  
             108,792  
          

 

 

 

Software : 0.12%

          

CDK Global Incorporated 144A

     4.88       6-1-2027        20,000        20,600  

CDK Global Incorporated

     5.00       10-15-2024        50,000        52,246  

SS&C Technologies Incorporated

     5.88       7-15-2023        50,000        52,875  

Symantec Corporation 144A

     5.00       4-15-2025        25,000        26,188  
             151,909  
          

 

 

 

Technology Hardware, Storage & Peripherals : 0.99%

          

Dell International LLC 144A

     5.88       6-15-2021        250,000        260,001  

Diamond 1 Finance Corporation 144A

     7.13       6-15-2024        425,000        461,137  

NCR Corporation

     5.88       12-15-2021        15,000        15,419  

NCR Corporation

     6.38       12-15-2023        500,000        526,875  
             1,263,432  
          

 

 

 

Materials : 0.88%

          

Chemicals : 0.04%

          

Celanese U.S. Holdings LLC

     5.88       6-15-2021        20,000        21,970  

Valvoline Incorporated 144A

     5.50       7-15-2024        25,000        26,563  
             48,533  
          

 

 

 

Containers & Packaging : 0.84%

          

Ball Corporation

     5.25       7-1-2025        15,000        16,425  

Berry Plastics Corporation

     5.13       7-15-2023        50,000        52,375  

Berry Plastics Corporation

     6.00       10-15-2022        65,000        68,575  

Crown Cork & Seal Company Incorporated

     7.38       12-15-2026        155,000        182,900  

Owens-Brockway Glass Container Incorporated 144A

     5.88       8-15-2023        50,000        54,625  

Owens-Illinois Incorporated 144A

     5.38       1-15-2025        50,000        53,125  

Owens-Illinois Incorporated 144A

     6.38       8-15-2025        375,000        422,813  

Sealed Air Corporation 144A

     5.13       12-1-2024        100,000        107,250  

Silgan Holdings Incorporated

     5.00       4-1-2020        14,000        14,070  

Silgan Holdings Incorporated

     5.50       2-1-2022        100,000        102,500  
             1,074,658  
          

 

 

 

Real Estate : 1.41%

          

Equity REITs : 1.41%

          

CoreCivic Incorporated

     4.63       5-1-2023        35,000        35,700  

CoreCivic Incorporated

     5.00       10-15-2022        100,000        104,500  

Equinix Incorporated

     5.75       1-1-2025        50,000        53,438  

Equinix Incorporated

     5.88       1-15-2026        100,000        108,500  

ESH Hospitality Incorporated 144A

     5.25       5-1-2025        325,000        330,688  

Iron Mountain Incorporated 144A

     4.38       6-1-2021        125,000        128,378  

Iron Mountain Incorporated 144A

     5.38       6-1-2026        100,000        104,750  

Iron Mountain Incorporated

     6.00       8-15-2023        267,000        279,763  

MGM Growth Properties LLC 144A

     4.50       1-15-2028        50,000        49,688  

Sabra Health Care REIT Incorporated

     5.38       6-1-2023        75,000        77,438  

Sabra Health Care REIT Incorporated

     5.50       2-1-2021        130,000        134,063  

 

7


 Portfolio of investments — November 30, 2017 (unaudited)    Wells Fargo Utilities and High Income Fund  

 

Security name    Interest rate     Maturity date      Principal      Value  

Equity REITs (continued)

          

The Geo Group Incorporated

     5.13     4-1-2023      $ 50,000      $ 50,250  

The Geo Group Incorporated

     5.88       1-15-2022        135,000        139,219  

The Geo Group Incorporated

     5.88       10-15-2024        125,000        129,375  

The Geo Group Incorporated

     6.00       4-15-2026        75,000        77,813  
             1,803,563  
          

 

 

 

Telecommunication Services : 1.13%

          

Diversified Telecommunication Services : 0.51%

          

GCI Incorporated

     6.75       6-1-2021        125,000        127,188  

Level 3 Financing Incorporated

     5.13       5-1-2023        75,000        75,000  

Level 3 Financing Incorporated

     5.25       3-15-2026        50,000        49,031  

Level 3 Financing Incorporated

     5.38       8-15-2022        125,000        126,719  

Level 3 Financing Incorporated

     5.38       1-15-2024        50,000        50,125  

Level 3 Financing Incorporated

     5.38       5-1-2025        75,000        75,210  

Level 3 Financing Incorporated

     5.63       2-1-2023        65,000        65,731  

Level 3 Financing Incorporated

     6.13       1-15-2021        80,000        81,400  
             650,404  
          

 

 

 

Wireless Telecommunication Services : 0.62%

          

SBA Communications Corporation

     4.88       7-15-2022        75,000        77,625  

Sprint Capital Corporation

     6.88       11-15-2028        225,000        230,906  

Sprint Capital Corporation

     8.75       3-15-2032        25,000        28,867  

Sprint Communications Incorporated 144A

     9.00       11-15-2018        25,000        26,406  

T-Mobile USA Incorporated

     4.00       4-15-2022        50,000        51,375  

T-Mobile USA Incorporated

     5.13       4-15-2025        25,000        26,125  

T-Mobile USA Incorporated

     5.38       4-15-2027        25,000        26,750  

T-Mobile USA Incorporated

     6.00       3-1-2023        25,000        26,229  

T-Mobile USA Incorporated

     6.13       1-15-2022        25,000        25,875  

T-Mobile USA Incorporated

     6.38       3-1-2025        145,000        155,650  

T-Mobile USA Incorporated

     6.50       1-15-2024        5,000        5,306  

T-Mobile USA Incorporated

     6.63       4-1-2023        35,000        36,607  

T-Mobile USA Incorporated

     6.84       4-28-2023        75,000        78,750  
             796,471  
          

 

 

 

Utilities : 1.34%

          

Electric Utilities : 0.02%

          

NextEra Energy Incorporated 144A

     4.25       9-15-2024        25,000        25,313  
          

 

 

 

Gas Utilities : 0.06%

          

AmeriGas Partners LP

     5.75       5-20-2027        75,000        75,750  
          

 

 

 

Independent Power & Renewable Electricity Producers : 1.26%

          

NSG Holdings LLC 144A

     7.75       12-15-2025        379,650        415,717  

Pattern Energy Group Incorporated 144A

     5.88       2-1-2024        525,000        555,188  

TerraForm Power Operating LLC 144A%%

     4.25       1-31-2023        25,000        25,063  

TerraForm Power Operating LLC 144A

     6.38       2-1-2023        425,000        447,950  

TerraForm Power Operating LLC 144A

     6.63       6-15-2025        150,000        164,438  
             1,608,356  
          

 

 

 

Total Corporate Bonds and Notes (Cost $34,255,333)

             35,611,505  
          

 

 

 

Loans : 1.38%

          

Consumer Discretionary : 0.58%

          

Auto Components : 0.12%

          

Federal-Mogul Corporation (1 Month LIBOR +3.75%) ±

     5.02       4-15-2021        157,058        158,065  
          

 

 

 

 

8


 Wells Fargo Utilities and High Income Fund    Portfolio of investments — November 30, 2017 (unaudited)  

 

Security name    Interest rate     Maturity date      Principal      Value  

Hotels, Restaurants & Leisure : 0.46%

          

CCM Merger Incorporated (1 Month LIBOR +2.75%) ±

     4.10     8-8-2021      $ 52,627      $ 52,812  

Montreign Operating Company LLC (1 Month LIBOR +8.25%) ±‡

     9.60       12-7-2022        525,000        529,594  
             582,406  
          

 

 

 

Energy : 0.13%

          

Energy Equipment & Services : 0.03%

          

Panda Hummel Station (1 Month LIBOR +6.00%) ±‡

     7.35       10-27-2022        42,991        40,196  
          

 

 

 

Oil, Gas & Consumable Fuels : 0.10%

          

Chesapeake Energy Corporation (3 Month LIBOR +7.50%) ±

     8.95       8-23-2021        50,000        53,188  

Ultra Resources Incorporated (3 Month LIBOR +3.00%) ±

     4.41       4-12-2024        75,000        74,813  
             128,001  
          

 

 

 

Financials : 0.10%

          

Diversified Financial Services : 0.10%

          

Resolute Investment Managers Incorporated (3 Month LIBOR +7.50%) ±‡

     8.88       4-30-2023        125,000        125,313  
          

 

 

 

Health Care : 0.09%

          

Health Care Providers & Services : 0.01%

          

Press Ganey Holdings Incorporated (1 Month LIBOR +6.50%) ±

     7.85       10-21-2024        16,833        17,001  
          

 

 

 

Health Care Technology : 0.08%

          

Emerald Bidco Incorporated (1 Month LIBOR +3.00%) ±<

     0.00       10-23-2023        100,000        100,583  
          

 

 

 

Industrials : 0.09%

          

Commercial Services & Supplies : 0.09%

          

Advantage Sales & Marketing LLC (3 Month LIBOR +6.50%) ±

     7.88       7-25-2022        91,664        80,092  

WASH Multifamily Laundry Systems LLC (1 Month LIBOR +3.25%) ±

     4.60       5-14-2022        24,955        25,048  

WASH Multifamily Laundry Systems LLC (1 Month LIBOR +3.25%) ±

     4.60       5-14-2022        4,370        4,387  

WASH Multifamily Laundry Systems LLC (1 Month LIBOR +7.00%) ±‡

     8.35       5-12-2023        1,490        1,476  

WASH Multifamily Laundry Systems LLC (1 Month LIBOR +7.00%) ±‡

     8.35       5-14-2023        8,510        8,424  
             119,427  
          

 

 

 

Information Technology : 0.30%

          

Internet Software & Services : 0.30%

          

Ancestry.com Incorporated (1 Month LIBOR +3.25%) ±<

     4.50       10-19-2023        380,250        382,033  
          

 

 

 

Real Estate : 0.05%

          

Real Estate Management & Development : 0.05%

          

Capital Automotive LP (1 Month LIBOR +6.00%) ±‡

     7.35       3-24-2025        64,449        66,060  
          

 

 

 

Utilities : 0.04%

          

Independent Power & Renewable Electricity Producers : 0.04%

          

Vistra Energy Corporation (1 Month LIBOR +2.75%) ±

     4.03       12-31-2046        49,625        49,910  
          

 

 

 

Total Loans (Cost $1,762,417)

             1,768,995  
          

 

 

 

 

9


 Portfolio of investments — November 30, 2017 (unaudited)    Wells Fargo Utilities and High Income Fund  

 

Security name    Dividend yield            Shares      Value  

Preferred Stocks : 13.13%

 

Telecommunication Services : 2.06%

 

Diversified Telecommunication Services : 2.06%

 

AT&T Incorporated

     5.35        100,000      $ 2,630,000  
          

 

 

 

Utilities : 11.07%

          

Electric Utilities : 7.07%

          

Alabama Power Company

     5.00          140,000        3,731,000  

Georgia Power Company

     5.00          50,000        1,265,000  

NSTAR Electric Company

     4.78          8,830        909,490  

Southern Company

     5.25          61,000        1,526,220  

The Connecticut Light & Power Company

     5.28          12,000        622,800  

Union Electric Company

     4.56          10,000        976,500  
             9,031,010  
          

 

 

 

Multi-Utilities : 4.00%

          

DTE Energy Company

     5.38          200,000        5,118,000  
          

 

 

 

Total Preferred Stocks (Cost $16,441,747)

             16,779,010  
          

 

 

 
           Expiration date                

Rights : 0.01%

          

Utilities : 0.01%

          

Independent Power & Renewable Electricity Producers : 0.01%

 

       

Vistra Energy Corporation †

       12-31-2046        23,978        17,984  
          

 

 

 

Total Rights (Cost $26,376)

             17,984  
          

 

 

 
     Interest rate     Maturity date      Principal         

Yankee Corporate Bonds and Notes : 2.65%

          

Energy : 0.78%

          

Energy Equipment & Services : 0.17%

          

Ensco plc

     5.75       10-1-2044      $ 330,000        217,800  
          

 

 

 

Oil, Gas & Consumable Fuels : 0.61%

          

Baytex Energy Corporation 144A

     5.13       6-1-2021        175,000        167,125  

Baytex Energy Corporation 144A

     5.63       6-1-2024        75,000        70,500  

Griffin Coal Mining Company Limited 144A‡(a)†

     9.50       12-1-2016        93,118        372  

Teekay Corporation

     8.50       1-15-2020        535,000        537,675  
             775,672  
          

 

 

 

Financials : 0.17%

          

Banks : 0.11%

          

Nielsen Holding and Finance BV 144A

     5.00       2-1-2025        100,000        104,000  

Nielsen Holding and Finance BV 144A

     5.50       10-1-2021        30,000        30,863  
             134,863  
          

 

 

 

Diversified Financial Services : 0.06%

          

Sensata Technologies BV 144A

     6.25       2-15-2026        74,000        80,475  
          

 

 

 

 

10


 Wells Fargo Utilities and High Income Fund    Portfolio of investments — November 30, 2017 (unaudited)  

 

Security name          Interest rate     Maturity date      Principal      Value  

Health Care : 0.69%

            

Pharmaceuticals : 0.69%

            

Valeant Pharmaceuticals International Incorporated 144A

       5.50     3-1-2023      $ 200,000      $ 171,250  

Valeant Pharmaceuticals International Incorporated 144A

       5.50       11-1-2025        50,000        50,500  

Valeant Pharmaceuticals International Incorporated 144A

       5.63       12-1-2021        50,000        46,563  

Valeant Pharmaceuticals International Incorporated 144A

       5.88       5-15-2023        180,000        157,275  

Valeant Pharmaceuticals International Incorporated 144A

       6.13       4-15-2025        235,000        201,513  

Valeant Pharmaceuticals International Incorporated 144A

       6.38       10-15-2020        62,000        62,000  

Valeant Pharmaceuticals International Incorporated 144A

       6.50       3-15-2022        25,000        26,250  

Valeant Pharmaceuticals International Incorporated 144A

       6.75       8-15-2021        25,000        24,375  

Valeant Pharmaceuticals International Incorporated 144A

       7.00       3-15-2024        50,000        53,563  

Valeant Pharmaceuticals International Incorporated 144A

       7.50       7-15-2021        94,000        93,060  
               886,349  
            

 

 

 

Industrials : 0.49%

            

Commercial Services & Supplies : 0.43%

            

GFL Environmental Incorporated 144A

       5.63       5-1-2022        50,000        51,500  

GFL Environmental Incorporated 144A

       9.88       2-1-2021        50,000        53,063  

Ritchie Brothers Auctioneers Incorporated 144A

       5.38       1-15-2025        425,000        444,125  
               548,688  
            

 

 

 

Machinery : 0.02%

            

Sensata Technologies BV 144A

       5.00       10-1-2025        20,000        21,350  
            

 

 

 

Professional Services : 0.04%

            

IHS Markit Limited 144A

       4.75       2-15-2025        50,000        52,965  
            

 

 

 

Materials : 0.06%

            

Containers & Packaging : 0.04%

            

Ardagh Packaging Finance plc 144A

       7.25       5-15-2024        50,000        54,750  
            

 

 

 

Metals & Mining : 0.02%

            

Novelis Corporation 144A

       6.25       8-15-2024        25,000        26,375  
            

 

 

 

Telecommunication Services : 0.46%

            

Diversified Telecommunication Services : 0.46%

            

Intelsat Jackson Holdings SA

       5.50       8-1-2023        545,000        446,219  

Intelsat Luxembourg SA

       7.75       6-1-2021        185,000        109,150  

Virgin Media Finance plc 144A

       6.38       4-15-2023        25,000        25,906  
               581,275  
            

 

 

 

Total Yankee Corporate Bonds and Notes (Cost $3,561,473)

               3,380,562  
            

 

 

 
           Yield            Shares         

Short-Term Investments : 5.19%

            

Investment Companies : 5.19%

            

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

       1.00          6,630,720        6,630,720  
            

 

 

 

Total Short-Term Investments (Cost $6,630,720)

               6,630,720  
            

 

 

 
                               Value  

Total investments in securities (Cost $121,013,164)

     114.90      $ 146,787,265  

Other assets and liabilities, net

     (14.90        (19,035,109
  

 

 

      

 

 

 

Total net assets

     100.00      $ 127,752,156  
  

 

 

      

 

 

 

 

11


 Portfolio of investments — November 30, 2017 (unaudited)    Wells Fargo Utilities and High Income Fund  

 

Non-income-earning security
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.
¥ A payment-in-kind (PIK) security is a security in which the issuer may make interest or dividend payments in cash or additional securities. These additional securities generally have the same terms as the original holdings.
%% 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.
< All or a portion of the position represents an unfunded loan commitment. The rate represents current interest rate if the loan is partially funded.
(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 and unfunded loans.

Abbreviations:

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

 

12


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,      Shares      Shares      Shares,      Value,      % of  
     beginning of      purchased      sold      end of      end      net  
     period                    period      of period      assets  

Short-Term Investments

                 

Investment companies

                 

Wells Fargo Government Money Market Fund Select Class

     31,330,542        19,328,185        44,028,007        6,630,720      $ 6,630,720        5.19


Wells Fargo Utilities and High Income Fund (the “Fund”)

Notes to Portfolio of investments – November 30, 2017 (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 Management Valuation Team 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 November 30, 2017, such fair value pricing was 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 Management Valuation Team. 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 Management Valuation Team 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 Management Valuation Team. 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.

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.


As of November 30, 2017, the Fund had unfunded loan commitments of $258,322.

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 November 30, 2017:

 

     Quoted prices
(Level 1)
     Other significant
observable inputs

(Level 2)
     Significant
unobservable inputs

(Level 3)
     Total  

Assets

           

Investments in :

           

Common stocks

           

Consumer discretionary

   $ 6,030,101      $ 0      $ 0      $ 6,030,101  

Energy

     16,414        0        0        16,414  

Telecommunication services

     5,552,799        0        0        5,552,799  

Utilities

     70,999,175        0        0        70,999,175  

Corporate bonds and notes

     0        35,611,505        0        35,611,505  

Loans

     0        997,932        771,063        1,768,995  

Preferred stocks

           

Telecommunication services

     2,630,000        0        0        2,630,000  

Utilities

     11,640,220        2,508,790        0        14,149,010  

Rights

           

Utilities

     0        17,984        0        17,984  

Yankee corporate bonds and notes

     0        3,380,190        372        3,380,562  

Short-term investments

           

Investment companies

     6,630,720        0        0        6,630,720  
  

 

 

    

 

 

    

 

 

    

 

 

 

Total assets

   $ 103,499,429      $ 42,516,401      $ 771,435      $ 146,787,265  
  

 

 

    

 

 

    

 

 

    

 

 

 

The Fund recognizes transfers between levels within the fair value hierarchy at the end of the reporting period. At November 30, 2017, the Fund had no material transfers into/out of Level 1, Level 2, or Level 3.


ITEM 2. CONTROLS AND PROCEDURES

(a) The President and Treasurer have concluded that the Wells Fargo Utilities and High Income 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 Utilities and High Income Fund
By:   /s/ Andrew Owen
  Andrew Owen
  President
Date: January 25, 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 Utilities and High Income Fund
By:   /s/ Andrew Owen
  Andrew Owen
  President
Date: January 25, 2018
By:   /s/ Nancy Wiser
  Nancy Wiser
  Treasurer
Date: January 25, 2018