Wells Fargo Advantage Funds - Allspring Income Opportunities Fund (EAD)
NYSEAMERICAN: EAD · Real-Time Price · USD
6.89
+0.01 (0.15%)
Dec 5, 2025, 4:00 PM EST - Market closed

EAD Dividend Information

EAD has an annual dividend of $0.64 per share, with a yield of 9.28%. The dividend is paid every month and the next ex-dividend date is Dec 11, 2025.

Dividend Yield
9.28%
Annual Dividend
$0.64
Ex-Dividend Date
Dec 11, 2025
Payout Frequency
Monthly
Payout Ratio
106.95%
Dividend Growth
2.65%
Growth Years
1
Shareholder Yield
9.28%

Dividend History

Ex-Div Date AmountRecord DatePay Date
2025-12-11$0.053562025-12-112026-01-02
2025-11-13$0.053572025-11-132025-12-01
2025-10-14$0.053572025-10-142025-11-03
2025-09-12$0.053562025-09-122025-10-01
2025-08-11$0.053522025-08-112025-09-02
2025-07-11$0.053522025-07-112025-08-01
2025-06-12$0.053492025-06-122025-07-01
2025-05-12$0.053572025-05-122025-06-02
2025-04-11$0.053562025-04-112025-05-01
2025-03-13$0.053462025-03-132025-04-01
2025-02-13$0.05342025-02-132025-03-03
2025-01-13$0.053312025-01-132025-02-03
2024-12-12$0.053062024-12-122025-01-02
2024-11-12$0.05272024-11-122024-12-02
2024-10-15$0.052472024-10-152024-11-01
2024-09-13$0.052312024-09-132024-10-01
2024-08-12$0.052212024-08-122024-09-03
2024-07-11$0.05212024-07-112024-08-01
2024-06-13$0.051972024-06-132024-07-01
2024-05-10$0.051922024-05-132024-06-03
2024-04-11$0.051742024-04-122024-05-01
2024-03-11$0.051712024-03-122024-04-01
2024-02-12$0.05172024-02-132024-03-01
2024-01-12$0.051652024-01-162024-02-01
2023-12-11$0.051732023-12-122024-01-02
2023-11-13$0.047382023-11-142023-12-01
2023-10-12$0.047442023-10-132023-11-01
2023-09-11$0.047692023-09-122023-10-02
2023-08-11$0.047762023-08-142023-09-01
2023-07-13$0.047952023-07-142023-08-01
2023-06-12$0.048342023-06-132023-07-03
2023-05-11$0.048932023-05-122023-06-01
2023-04-13$0.04972023-04-142023-05-01
2023-03-10$0.050482023-03-132023-04-03
2023-02-10$0.051412023-02-132023-03-01
2023-01-12$0.052462023-01-132023-02-01
2022-12-12$0.053572022-12-132023-01-03
2022-11-11$0.054792022-11-142022-12-01
2022-10-13$0.055942022-10-142022-11-01
2022-09-12$0.056822022-09-132022-10-03
2022-08-11$0.057922022-08-122022-09-01
2022-07-11$0.058922022-07-122022-08-01
2022-06-10$0.059722022-06-132022-07-01
2022-05-12$0.060232022-05-132022-06-01
2022-04-11$0.060592022-04-122022-05-02
2022-03-11$0.060882022-03-142022-04-01
2022-02-11$0.060932022-02-142022-03-01
2022-01-13$0.060872022-01-142022-02-01
2021-12-13$0.060622021-12-142022-01-03
2021-11-12$0.060242021-11-152021-12-01
2021-10-12$0.059822021-10-132021-11-01
2021-09-13$0.059492021-09-142021-10-01
2021-08-12$0.058952021-08-132021-09-01
2021-07-12$0.058412021-07-132021-08-02
2021-06-11$0.057642021-06-142021-07-01
2021-05-13$0.056672021-05-142021-06-01
2021-04-12$0.055882021-04-132021-05-03
2021-03-11$0.055782021-03-122021-04-01
2021-02-11$0.055772021-02-122021-03-01
2021-01-12$0.055792021-01-132021-02-01
2020-12-11$0.055942020-12-142021-01-04
* Dividend amounts are adjusted for stock splits when applicable.

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