2014 Qualified dividends

You may be eligible to report certain qualified distributions of ordinary income from IRS Form 1099-Div, box 1a at a reduced tax rate. This qualified amount is reported in IRS Form 1099-Div box 1b. Please refer to the instructions for Form 1040, line 9b for additional information and restrictions.

Qualified Dividends
Absolute Return Fund 56.23%
Alternative Strategies Fund 29.21%
Asia Pacific Fund 100.00%
Asset Allocation Fund 74.66%
C&B Large Cap Value Fund 100.00%
C&B Mid Cap Value Fund 100.00%
Capital Growth Fund 10.92%
Common Stock Fund 100.00%
Disciplined U.S. Core Fund 44.26%
Diversified Income Builder Fund 9.03%
Diversified Capital Builder Fund 100.00%
Diversified Equity Fund 57.34%
Diversified International Fund 100.00%
Target 2010 Fund 12.98%
Target 2015 Fund 21.03%
Target 2020 Fund 28.54%
Target 2025 Fund 37.27%
Target 2030 Fund 48.21%
Target 2035 Fund 57.08%
Target 2040 Fund 63.61%
Target 2045 Fund 67.44%
Target 2050 Fund 66.01%
Target 2055 Fund 70.43%
Target Today Fund 12.19%
Emerging Growth Fund 10.50%
Emerging Markets Equity Fund 100.00%
Emerging Markets Equity Income Fund 77.23%
Emerging Markets Equity Select Fund 100.00%
Endeavor Select Fund 13.62%
Global Opportunities Fund 34.60%
Growth Balanced Fund 81.24%
Index Fund 91.08%
Index Asset Allocation Fund 72.75%
International Equity Fund 86.48%
International Value Fund 100.00%
Intrinsic Small Cap Value Fund 100.00%
Intrinsic Value Fund 100.00%
Intrinsic World Equity Fund 100.00%
Large Cap Core Fund 100.00%
Large Cap Growth Fund 100.00%
Large Company Value Fund 100.00%
Moderate Balanced Fund 33.00%
Omega Growth Fund 15.98%
Opportunity Fund 100.00%
Precious Metals Fund 99.16%
Small Cap Opportunities Fund 18.42%
Small Cap Value Fund 25.72%
Small Company Growth Fund 6.91%
Small/Mid Cap Value Fund 10.85%
Special Mid Cap Value Fund 34.93%
Special Small Cap Value Fund 46.65%
Utility and Telecommunications Fund 100.00%
WealthBuilder Growth Allocation Portfolio 5.14%

Stock fund values fluctuate in response to the activities of individual companies and general market and economic conditions. Bond fund values fluctuate in response to the financial condition of individual issuers, general market and economic conditions, and changes in interest rates. In general, when interest rates rise, bond fund values fall and investors may lose principal value. Some funds, including nondiversified funds and funds investing in foreign investments, high-yield bonds, small- and mid-cap stocks, and/or more volatile segments of the economy, entail additional risk and may not be appropriate for all investors. Consult a fund's prospectus for additional information on these and other risks.

Any tax or legal information in this website is merely a summary of our understanding and interpretations of some of the current income tax regulations and is not exhaustive. Investors should consult their tax advisor or legal counsel for advice and information concerning their particular situation. Wells Fargo Funds Management, LLC, Wells Fargo Funds Distributor, LLC, nor any of their representatives may give legal or tax advice.

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  • May Lose Value

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