EODNYSE
Wells Fargo Advantage Funds - Allspring Global Dividend Opportunity Fund
$6.38
ListedMar 28, 2007
SectorFinancial Services
IndustryAsset Management
CountryUnited States
Employees-
StateNC| CityCharlotte| Address1415 Vantage Park Drive| Phone833 289 5038
Wells Fargo Advantage Funds - Allspring Global Dividend Opportunity Fund is a closed-ended equity mutual fund launched and managed by Wells Fargo Funds Management, LLC. It is co-managed by Crow Point Partners, LLC and Wells Capital Management Incorporated. The fund invests in the public equity markets across the globe. It invests in stocks of companies operating across diversified sectors with an emphasis on utilities, telecom, and energy sectors. The fund primarily invests in dividend paying stocks of companies. Wells Fargo Advantage Funds - Allspring Global Dividend Opportunity Fund was formed on March 28, 2007 and is domiciled in the United States.

Key Indicators

Key financial and dividend metrics for this stock.

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P/E Ratio
4.7
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Div. Rate
$0.57
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Div. Yield
8.56%
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Payout Ratio
35.31%
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Max Consec. Div. Years
19 years
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Longest Consec. Div.
18 years
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Div. Coverage
100%
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Div. Stability Rate
0.08
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Div. Growth Rate
50.00%
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Score
88

Dividend History

Historical dividend payments by ex-dividend date.

Sep 11, 2026
$ 0.1480
Jun 11, 2026
$ 0.1420
Mar 12, 2026
$ 0.1360
Dec 11, 2025
$ 0.1320
Sep 12, 2025
$ 0.1270
Jun 12, 2025
$ 0.1260
Mar 13, 2025
$ 0.1240
Dec 12, 2024
$ 0.1200
Sep 13, 2024
$ 0.1160
Jun 13, 2024
$ 0.1110
Mar 11, 2024
$ 0.1080
Dec 11, 2023
$ 0.1070
Sep 11, 2023
$ 0.1060
Jun 12, 2023
$ 0.1070
Mar 10, 2023
$ 0.1130
Dec 12, 2022
$ 0.1200
Sep 12, 2022
$ 0.1280
Jun 10, 2022
$ 0.1340
Mar 11, 2022
$ 0.1340
Dec 13, 2021
$ 0.1310
Sep 13, 2021
$ 0.1260
Jun 11, 2021
$ 0.1320
Mar 11, 2021
$ 0.1270
Dec 11, 2020
$ 0.1300
Sep 11, 2020
$ 0.1350
Jun 12, 2020
$ 0.1420
Mar 12, 2020
$ 0.1470
Dec 12, 2019
$ 0.1450
Sep 12, 2019
$ 0.1460
Jun 13, 2019
$ 0.1470
Mar 11, 2019
$ 0.1490
Dec 14, 2018
$ 0.1540
Sep 14, 2018
$ 0.1600
Jun 12, 2018
$ 0.1640
Dec 12, 2017
$ 0.1630
Sep 12, 2017
$ 0.1630
Jun 12, 2017
$ 0.1650
Mar 13, 2017
$ 0.1350
Dec 12, 2016
$ 0.1350
Sep 12, 2016
$ 0.1350
Jun 13, 2016
$ 0.1350
Mar 11, 2016
$ 0.1350
Dec 11, 2015
$ 0.1800
Sep 11, 2015
$ 0.1800
Jun 11, 2015
$ 0.1800
Mar 12, 2015
$ 0.1800
Dec 11, 2014
$ 0.1800
Sep 11, 2014
$ 0.1800
Jun 12, 2014
$ 0.1800
Mar 13, 2014
$ 0.1800
Dec 12, 2013
$ 0.1800
Sep 13, 2013
$ 0.2100
Jun 13, 2013
$ 0.2100
Mar 12, 2013
$ 0.2100
Dec 13, 2012
$ 0.2100
Sep 14, 2012
$ 0.2800
Jun 11, 2012
$ 0.2800
Mar 12, 2012
$ 0.2800
Dec 12, 2011
$ 0.2800
Sep 12, 2011
$ 0.2800
Jun 13, 2011
$ 0.2800
Mar 11, 2011
$ 0.2800
Dec 13, 2010
$ 0.2800
Sep 13, 2010
$ 0.2800
Jun 11, 2010
$ 0.2800
Mar 11, 2010
$ 0.2800
Dec 11, 2009
$ 0.2800
Sep 14, 2009
$ 0.2800
Jun 11, 2009
$ 0.5000
Mar 11, 2009
$ 0.5000
Dec 11, 2008
$ 0.5000
Sep 12, 2008
$ 0.5000
Jun 12, 2008
$ 0.5000
Mar 13, 2008
$ 0.5000
Dec 13, 2007
$ 0.5000
Oct 11, 2007
$ 0.5000
Jul 12, 2007
$ 0.5000

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