Wells Fargo Real Return Fund I(IPBNX) USD 9.92
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.29%USD 0.029USD0.028512023-03-27
20225.85%USD 0.58USD0.034522022-12-28
USD0.014372022-11-23
USD0.012432022-10-25
USD0.06652022-09-26
USD0.110572022-08-25
USD0.078562022-07-25
USD0.024842022-06-24
USD0.073192022-05-24
USD0.050782022-04-25
USD0.049612022-03-25
USD0.027982022-02-22
USD0.036852022-01-25
20214.68%USD 0.464USD0.050472021-12-29
USD0.022682021-11-23
USD0.034472021-10-25
USD0.051582021-09-24
USD0.060252021-08-25
USD0.071352021-07-26
USD0.042312021-06-24
USD0.052582021-05-24
USD0.036272021-04-26
USD0.020522021-03-25
USD0.00882021-02-22
USD0.012852021-01-25
20201.73%USD 0.171USD0.011122020-12-29
USD0.023642020-11-23
USD0.037432020-10-26
USD0.029942020-09-24
USD0.016532020-08-25
USD0.033492020-05-22
USD0.019162020-03-25
20192.46%USD 0.244USD0.037822019-12-23
USD0.013922019-11-22
USD0.018132019-10-25
USD0.022762019-09-24
USD0.049082019-08-26
USD0.029762019-07-25
USD0.016992019-06-24
USD0.038242019-05-24
USD0.014522019-04-24
USD0.003162019-03-25
20182.78%USD 0.276USD0.017732018-12-27
USD0.033462018-12-12
USD0.015542018-11-26
USD0.016922018-10-25
USD0.034932018-09-24
USD0.029292018-08-27
USD0.031772018-07-25
USD0.020262018-06-25
USD0.058122018-05-24
USD0.017592018-03-23
20172.30%USD 0.228USD0.063582017-12-28
USD0.033292017-11-24
USD0.015012017-10-25
USD0.01572017-09-25
USD0.015172017-08-25
USD0.015642017-07-25
USD0.012822017-06-26
USD0.036462017-05-24
USD0.020682017-03-23
20160.93%USD 0.093USD0.051752016-12-29
USD0.013532016-12-07
USD0.027372016-11-23