WELLS FARGO DISCIPLINED U.S. CORE FUND CLASS A(EVSAX) USD 17.95
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
202213.31%USD 2.39USD0.152322022-12-15
USD2.237712022-12-09
202110.56%USD 1.895USD0.154792021-12-16
USD1.740122021-12-09
20209.84%USD 1.766USD0.329622020-12-16
USD1.436132020-12-09
20194.28%USD 0.769USD0.331152019-12-17
USD0.437732019-12-10
20185.80%USD 1.041USD0.188282018-12-14
USD0.852652018-12-10
20174.10%USD 0.736USD0.150472017-12-15
USD0.585842017-12-13
20162.00%USD 0.36USD0.1512016-12-14
USD0.20862016-12-09
20159.06%USD 1.627USD0.187622015-12-16
USD1.439022015-12-11
201414.80%USD 2.657USD0.164512014-12-16
USD2.492832014-12-11
201314.03%USD 2.518USD0.243522013-12-16
USD2.274642013-12-09
201210.37%USD 1.861USD0.235312012-12-13
USD1.625992012-12-07
20114.08%USD 0.732USD0.227652011-12-15
USD0.504822011-12-09
20100.48%USD 0.086USD0.006072010-12-16
USD0.042010-06-10
USD0.042010-03-11
20090.90%USD 0.161USD0.0422009-12-10
USD0.0342009-09-10
USD0.0352009-06-11
USD0.052009-03-12
20081.03%USD 0.184USD0.0572008-12-11
USD0.0322008-09-11
USD0.0512008-06-12
USD0.0112008-03-31
USD0.0332008-02-29
20071.00%USD 0.179USD0.052007-12-31
USD0.0152007-09-28
USD0.032007-08-31
USD0.0542007-06-29
USD0.032007-02-28
20061.16%USD 0.209USD0.0172006-12-29
USD0.0392006-11-30
USD0.0072006-09-29
USD0.0362006-08-31
USD0.0152006-06-30
USD0.0272006-05-31
USD0.0072006-04-28
USD0.0112006-03-31
USD0.052006-02-28
20050.59%USD 0.106USD0.0192005-12-30
USD0.0192005-11-30
USD0.0012005-10-31
USD0.0072005-09-30
USD0.012005-08-31
USD0.0032005-07-29
USD0.012005-06-30
USD0.012005-05-31
USD0.0032005-04-29
USD0.0072005-03-31
USD0.0172005-02-28
20040.68%USD 0.122USD0.0182004-12-31
USD0.0532004-11-30
USD0.0042004-10-29
USD0.0072004-09-30
USD0.0082004-08-31
USD0.0042004-07-30
USD0.0052004-06-30
USD0.0082004-05-28
USD0.0022004-04-30
USD0.0022004-03-31
USD0.0022004-02-27
USD0.0092004-01-30
20030.25%USD 0.044USD0.0122003-12-02
USD0.0092003-09-18
USD0.0092003-06-19
USD0.0142003-03-20
20020.31%USD 0.055USD0.0222002-12-19
USD0.0182002-09-19
USD0.0152002-03-21
20010.31%USD 0.056USD0.022001-12-20
USD0.0172001-09-20
USD0.0132001-06-21
USD0.0062001-03-22
20000.03%USD 0.006USD0.0062000-12-21