Wells Fargo Core Plus Bond Fund R6(STYJX) USD 11.36
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20230.88%USD 0.1USD0.041992023-03-27
USD0.032162023-02-22
USD0.026042023-01-25
20223.16%USD 0.359USD0.051312022-12-21
USD0.041982022-11-23
USD0.0342022-10-25
USD0.044022022-09-26
USD0.028542022-08-25
USD0.005722022-07-25
USD0.030112022-06-24
USD0.026782022-05-24
USD0.023542022-04-25
USD0.025732022-03-25
USD0.028592022-02-22
USD0.019152022-01-25
20213.25%USD 0.369USD0.02612021-12-23
USD0.105142021-12-09
USD0.017422021-11-23
USD0.017032021-10-25
USD0.015952021-09-24
USD0.023382021-08-25
USD0.023772021-07-26
USD0.021392021-06-24
USD0.023952021-05-24
USD0.022562021-04-26
USD0.021492021-03-25
USD0.022832021-02-22
USD0.028012021-01-25
20206.62%USD 0.752USD0.02952020-12-21
USD0.384282020-12-09
USD0.036512020-11-23
USD0.024172020-10-26
USD0.04032020-09-24
USD0.028772020-08-25
USD0.037762020-07-27
USD0.040362020-06-24
USD0.029722020-05-22
USD0.033372020-04-24
USD0.031532020-03-25
USD0.025382020-02-24
USD0.010452020-01-27
20194.58%USD 0.52USD0.05622019-12-23
USD0.073322019-12-10
USD0.028322019-11-22
USD0.047612019-10-25
USD0.036572019-09-24
USD0.040472019-08-26
USD0.029742019-07-25
USD0.029082019-06-24
USD0.033962019-05-24
USD0.031392019-04-24
USD0.044322019-03-25
USD0.02772019-02-22
USD0.041492019-01-25
20183.32%USD 0.377USD0.033842018-12-27
USD0.030342018-11-26
USD0.023532018-10-25
USD0.034122018-09-24
USD0.035932018-08-27
USD0.032162018-07-25
USD0.035452018-06-25
USD0.032182018-05-24
USD0.033782018-04-24
USD0.035352018-03-23
USD0.027392018-02-22
USD0.023362018-01-25
20173.29%USD 0.374USD0.029522017-12-28
USD0.033182017-11-24
USD0.035922017-10-25
USD0.025862017-09-25
USD0.030552017-08-25
USD0.006712017-07-25
USD0.047842017-06-26
USD0.016652017-05-24
USD0.044582017-04-24
USD0.021782017-03-23
USD0.032622017-02-22
USD0.049072017-01-25
20160.51%USD 0.058USD0.025982016-12-29
USD0.00612016-12-09
USD0.026122016-11-23