WELLS FARGO EMERGING MARKETS EQUITY INCOME FUND CLASS A(EQIAX) USD 10.61
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.32%USD 0.034USD0.011452023-03-27
USD0.022732023-02-22
20222.19%USD 0.232USD0.027872022-12-21
USD0.000112022-11-23
USD0.016112022-10-25
USD0.040992022-08-25
USD0.06262022-07-25
USD0.048152022-06-24
USD0.021342022-05-24
USD0.007982022-04-25
USD0.007132022-03-25
20213.04%USD 0.322USD0.091652021-12-23
USD0.020892021-11-23
USD0.015332021-10-25
USD0.016262021-09-24
USD0.0492021-08-25
USD0.01622021-07-26
USD0.05972021-06-24
USD0.030742021-05-24
USD0.004852021-04-26
USD0.010032021-03-25
USD0.007642021-02-22
20201.95%USD 0.207USD0.017112020-12-21
USD0.010792020-11-23
USD0.005562020-10-26
USD0.015822020-09-24
USD0.025842020-08-25
USD0.076332020-07-27
USD0.039062020-06-24
USD0.009082020-05-22
USD0.007392020-02-24
20192.40%USD 0.255USD0.011572019-12-23
USD0.035752019-11-22
USD0.014322019-10-25
USD0.044452019-08-26
USD0.059162019-07-25
USD0.047692019-06-24
USD0.008992019-05-24
USD0.012062019-04-24
USD0.011832019-03-25
USD0.009072019-02-22
20182.39%USD 0.254USD0.016872018-12-27
USD0.029142018-10-25
USD0.023052018-09-24
USD0.030992018-08-27
USD0.045172018-07-25
USD0.05862018-06-25
USD0.015742018-05-24
USD0.029532018-04-24
USD0.004952018-03-23
20171.67%USD 0.177USD0.019642017-12-28
USD0.006612017-11-24
USD0.011132017-10-25
USD0.016472017-09-25
USD0.034092017-08-25
USD0.045692017-07-25
USD0.008152017-06-26
USD0.022222017-05-24
USD0.012682017-04-24
USD0.000222017-03-23
20162.24%USD 0.238USD0.037512016-12-29
USD0.007952016-11-23
USD0.007282016-09-26
USD0.02332016-08-25
USD0.060312016-07-25
USD0.032882016-06-24
USD0.036392016-05-24
USD0.028212016-04-25
USD0.003942016-03-24
20151.78%USD 0.188USD0.0182015-12-30
USD0.005122015-11-23
USD0.003542015-10-26
USD0.013472015-09-24
USD0.029592015-08-25
USD0.045872015-07-27
USD0.047632015-06-24
USD0.02392015-05-22
USD0.001312015-04-24
20142.64%USD 0.28USD0.019822014-12-30
USD0.014292014-11-21
USD0.018362014-09-24
USD0.033642014-08-25
USD0.074882014-07-25
USD0.040052014-06-24
USD0.038782014-05-23
USD0.028522014-04-24
USD0.011462014-03-25
20136.37%USD 0.676USD0.053312013-12-30
USD0.368552013-12-09
USD0.013182013-11-22
USD0.016752013-10-25
USD0.034282013-09-24
USD0.029262013-08-26
USD0.030152013-07-25
USD0.047142013-06-24
USD0.069122013-05-24
USD0.014562013-04-24
20124.10%USD 0.435USD0.074262012-12-20
USD0.229982012-12-07
USD0.025482012-11-26
USD0.007872012-10-25
USD0.02842012-09-24
USD0.03462012-08-27
USD0.025262012-07-25
USD0.009312012-06-25