EX-99.H OTH MAT CONT 8 admin.htm (H)(1) CLASS-LEVEL ADMINISTRATION AGREEMENT WITH WELLS FARGO FUNDS MANAGEMENT, LLC stagecoach admin k w/fund

CLASS-LEVEL ADMINISTRATION AGREEMENT

 

            THIS CLASS-LEVEL ADMINISTRATION AGREEMENT is made as of this 1st day of July, 2015, by and between Wells Fargo Funds Trust, a Delaware statutory trust (the “Trust”) and Wells Fargo Funds Management, LLC, a limited liability company organized under the laws of the State of Delaware (“Funds Management”).

 

            WHEREAS, the Trust is registered as an open-end management investment company under the Investment Company Act of 1940, as amended (the “1940 Act”);

 

            WHEREAS, the Trust desires to retain Funds Management to render certain administrative services to the share classes  (individually, a “Class” and collectively, the “Classes”) of the Trust’s investment portfolios (individually, a “Fund” and collectively, the “Funds”) listed on Appendix A, and Funds Management is willing to render such services; and

 

WHEREAS, the Trust, on behalf of each Fund, has entered into separate investment management agreements (each, an “Investment Management Agreement”) with Funds Management for the provision of advisory services and Fund-level administrative services.

 

            NOW, THEREFORE, in consideration of the premises and mutual covenants herein contained, the parties agree as follows:

 

            1.         Appointment.  The Trust hereby appoints Funds Management to act as Class-level Administrator of the Funds, and Funds Management hereby accepts such appointment and agrees to render such services and duties set forth in Paragraph 3, for the compensation and on the terms herein provided.  Each new investment portfolio and share class thereof established in the future by the Trust shall automatically become a “Fund” or “Class,” respectively, for all purposes hereunder as if it were listed on Appendix A, absent written notification to the contrary by either the Trust or Funds Management.

 

            2.         Delivery of Documents.  The Trust shall furnish to, or cause to be furnished to, Funds Management originals of, or copies of, all books, records, and other documents and papers related in any way to the administration of the Trust.

 

            3.         Duties as Class-Level Administrator.   Funds Management shall, at its expense, provide the following administrative services in connection with the operations of the Trust and the Funds to the degree and extent that such services are provided to a Class, even if that Class is the only Class offered by a Fund, or Classes of a Fund (“Class-Level Duties”): 

 

coordinate, supervise and make all payments to the Funds’ transfer agent and various sub-transfer agents and omnibus account servicers and record-keepers;

 

receive and tabulate shareholder votes;

 

furnish statistical and research data;

 

coordinate (or assist in) the preparation and filing with the U.S. Securities and Exchange Commission (“SEC”) of registration statements, notices, shareholder reports, and other material required to be filed under applicable laws;

 

prepare and file with the states registration statements, notices, reports, and other material required to be filed under applicable laws;

 

prepare and file Form 24F-2s and N-SARs;

 

review bills submitted to the Funds on behalf of specific Classes and, upon determining that a bill is appropriate, allocating amounts to the appropriate Classes and instructing the Funds’ custodian to pay such bills;

 

coordinate (or assist in) the preparation of reports and other information materials regarding the Classes, including prospectuses, proxies and other shareholder communications;

 

prepare expense table and performance information for annual updates;  

 

provide legal and regulatory advice to the Funds in connection with its Class-level administrative functions, including assignment of matters to outside legal counsel and supervising the work of such counsel;

 

provide office facilities and clerical support for the Funds on behalf of specific Classes;

 

develop and implement procedures for monitoring compliance with Class-level regulatory requirements;

 

serve as liaison between the Funds on behalf of specific Classes and their independent auditors;

 

review payments of Class expenses;

 

prepare expense budgeting and accruals;

 

provide communication, coordination, and supervision services with regard to the Funds’ transfer agent, custodian, fund accountant, any co-administrators, and other service organizations that render recordkeeping or shareholder communication services;

 

assemble and disseminate to appropriate parties information concerning Class performance, expenses, distributions and administration;

 

provide reports to the Funds’ board of directors regarding the Classes’ activities;

 

assist in the preparation and assembly of meeting materials, including comparable fee information, as required, for the Funds’ board of directors; and

 

provide any other administrative services reasonably necessary for the operation of the Classes other than those services that are to be provided by the Trust’s transfer and dividend disbursing agent, custodian, and fund accountant, provided that nothing in this Agreement shall be deemed to require Funds Management to provide any services that may not be provided by it under applicable banking laws and regulations.

 

            In performing all of the services under this Agreement, Funds Management shall: (a) act in conformity with the Trust’s Declaration of Trust (and By-Laws, if any), the 1940 Act, and any other applicable laws as may be amended from time to time, and all relevant rules thereunder, and with the Trust’s registration statement under the Securities Act of 1933 and the 1940 Act, as may be amended from time to time; (b) consult and coordinate with legal counsel to the Trust as necessary and appropriate; and (c) advise and report to the Trust and its legal counsel, as necessary and appropriate, with respect to any compliance or other matters that come to its attention.

 

            In connection with its duties under this Paragraph, Funds Management may, at its own expense, enter into sub-administration agreements with other service providers, provided that each such service provider agrees with Funds Management to comply with this Agreement and all relevant provisions of the 1940 Act any other applicable laws as may be amended from time to time, and all relevant rules thereunder.  Funds Management will provide the Trust with a copy of each sub-administration agreement it executes relating to the Trust.  Funds Management will be liable for acts or omissions of any such sub-administrators under the standards of care described herein under Paragraph 5. 

 

            4.         Compensation.  In consideration of the Class-Level Duties rendered by Funds Management under this Agreement for each multi-class Fund and each single class Fund, the Trust shall pay Funds Management a Class-level administrative fee as shown on Appendix A.  The fees payable pursuant to this Paragraph shall be calculated based on the average daily value (as determined on each business day at the time set forth in the prospectus for determining net asset value per share) of each Class’s net assets, as appropriate, during the preceding month.  If the fee payable to Funds Management pursuant to this Paragraph begins to accrue before the end of any month or if this Agreement terminates before the end of any month, the fee for the period from the effective date to the end of that month or from the beginning of that month to the termination date, respectively, shall be prorated according to the proportion that the period bears to the full month in which the effectiveness or termination occurs.  For purposes of calculating each such monthly fee, the value of each Class’s net assets shall be computed in the manner specified in that Class’s registration statement as then on file with the SEC for the computation of the value of the Class’s net assets in connection with the determination of the net asset value of Class shares.  For purposes of this Agreement, a “business day” for a Class is any day that a Fund issuing the Class is open for trading.

 

            5.         Limitation of Liability; Indemnification.

 

Funds Management shall not be liable for any error of judgment or mistake of law or for any loss suffered by the Trust in connection with the performance of its obligations and duties under this Agreement, except a loss resulting from Funds Management’s willful misfeasance, bad faith, or negligence in the performance of its obligations and duties or that of its agents or sub-administrators, or by reason of its or their reckless disregard thereof.  Any person, even though also an officer, director, employee or agent of Funds Management, shall be deemed, when rendering services to the Trust or acting on any business of the Trust (other than services or business in connection with Funds Management’s duties as Administrator hereunder), to be acting solely for the Trust and not as an officer, director, employee, or agent or one under the control or discretion of Funds Management even though paid by it.

 

The Trust, on behalf of each Fund, will indemnify Funds Management against and hold it harmless from any and all losses, claims, damages, liabilities, or expenses (including reasonable counsel fees and expenses) resulting from any claim, demand, action, or suit relating to the particular Fund and not resulting from willful misfeasance, bad faith, or negligence of Funds Management or its agents or sub-administrators in the performance of their obligations and duties hereunder, or by reason of its or their reckless disregard thereof.  Funds Management will not confess any claim or settle or make any compromise in any instance in which the Trust will be asked to provide indemnification, except with the Trust’s prior written consent.  Any amounts payable by the Trust under this Subparagraph shall be satisfied only against the assets of the Fund involved in the claim, demand, action, or suit and not against the assets of any other Fund.

 

Funds Management will indemnify the Trust against and hold it harmless from any and all losses, claims, damages, liabilities, or expenses (including reasonable counsel fees and expenses) resulting from any claim, demand, action, or suit against the Trust or any Fund that resulted from a failure of Funds Management or its agents to act in accordance with the standard of care set forth in Subparagraph (a) above; provided that such loss, claim, damage, liability or expense did not result primarily from willful misfeasance, bad faith, or negligence of the Trust or its agents (other than Funds Management or agents of Funds Management) in the performance of their obligations and duties, or by reason of its or their reckless disregard thereof.  The Trust will not confess any claim or settle or make any compromise in any instance in which Funds Management will be asked to provide indemnification, except with Funds Management’s prior written consent.

 

            6.         Allocation of Expenses.  Funds Management assumes and shall pay for maintaining the staff and personnel necessary to perform its obligations under this Agreement and shall, at its own expense, provide its own office space, facilities and equipment.  In addition to the fees described in Section 4 of this Agreement, the Trust (or its other service providers, as may be provided pursuant to their respective agreements and contracts with the Trust) shall pay all of its Class-level expenses which are not expressly assumed by Funds Management hereunder.  The Class-level expenses of legal counsel and accounting experts retained by Funds Management, after consulting with the Trust’s legal counsel and independent auditors, as may be reasonably necessary or appropriate for the performance by Funds Management of its duties under this Agreement, shall be deemed to be Class-level expenses of, and shall be paid for by, the Trust.

 

            7.         Amendments.  This Agreement supersedes the Amended and Restated Administration Agreement between Wells Fargo Funds Trust and Funds Management dated March 1, 2003 and amended as of March 25, 2011, and the Administration Agreement between Wells Fargo Funds Trust and Wells Fargo Bank, N.A. dated November 8, 1999. The Fund-level administrative duties and feees of those agreements have been incorporated into each Investment Management Agreement. This Agreement may be amended at any time by mutual agreement in writing of the Trust and Funds Management, provided that the Board of Trustees of the Trust, including a majority of the trustees who are not interested persons of the Trust or any party to this Agreement, as defined by the 1940 Act, approves any such amendment in advance.

            8.         Administrator’s Other Businesses.  Except to the extent necessary to perform Funds Management’s obligations under this Agreement, nothing herein shall be deemed to limit or restrict the right of Funds Management, or any affiliate or employee of Funds Management, to engage in any other business or to devote time and attention to the management or other aspects of any other business, whether of a similar or dissimilar nature, or to render services of any kind to any other corporation, firm, individual or association.

 

            9.         Duration.  This Agreement shall become effective on its execution date and shall remain in full force and effect for one year or until terminated pursuant to the provisions in Paragraph 10, and it may be reapproved at least annually by the Board of Trustees, including a majority of the directors who are not interested persons of the Trust or any party to this Agreement, as defined by the 1940 Act.

 

            10.       Termination of Agreement.  This Agreement may be terminated at any time, without the payment of any penalty, by a vote of a majority of the members of the Trust’s Board of Trustees, on 60 days’ written notice to Funds Management; or by Funds Management on 60 days’ written notice to the Trust. 

 

            11.       Trust not bound to violate its Declaration of Trust.  Nothing in this Agreement shall require the Trust to take any action contrary to any provision of its Declaration of Trust or to any applicable statute or regulation.

 

            12.       Miscellaneous.

 

(a)        Any notice or other instrument authorized or required by this Agreement to be given in writing to the Trust or Funds Management shall be sufficiently given if addressed to that party and received by it at its office set forth below or at such other place as it may from time to time designate in writing.

 

            To the Trust:

            Wells Fargo Funds Trust

            525 Market Street, 12th Floor

            San Francisco, California  94105

            Attention:  C. David Messman

 

            To Funds Management:

            Wells Fargo Funds Management, LLC

            525 Market Street, 12th Floor

            San Francisco, California  94105

            Attention:  Karla M. Rabusch

 

(b)        This Agreement shall extend to and be binding upon the parties hereto and their respective successors and assigns; provided, however, that this Agreement shall not be subject to assignment (as that term is defined under the 1940 Act) without the written consent of the other party.

 

(c)        This Agreement shall be governed by and construed in accordance with the laws of the State of Delaware.

 

(d)       This Agreement may be executed in any number of counterparts, each of which shall be deemed to be an original, and which collectively shall be deemed to constitute only one agreement.

 

(e)        The captions of this Agreement are included for convenience of reference only and in no way define or delimit any of the provisions hereof or otherwise affect their construction or effect.

 

(f)        If any provision of this Agreement is declared to be prohibited or unenforceable, the remaining provisions of this Agreement shall continue to be valid and fully enforceable.

 

           


IN WITNESS WHEREOF, the parties have caused this Agreement to be executed by their duly authorized officers as of the day and year first above written.

WELLS FARGO FUNDS TRUST

 

 

By:  _________________________________      

  C. David Messman

  Secretary

 

 

WELLS FARGO FUNDS MANAGEMENT, LLC

 

 

By:   _________________________________                  

Paul Haast

Senior Vice President

 

 

 


Appendix A

WELLS FARGO FUNDS TRUST

CLASS-LEVEL ADMINISTRATION AGREEMENT

Overview of Fee Structure

The Class-Level Administration Fees listed below are calculated on the total net assets of each Class.  

Fees for Funds Trust Multi-Class Funds

Multi-Class Non-Money Market/Non-Fixed Income Funds

and Classes (Other than Asset Allocation Fund)

Class Level Admin. Fee

Class A, Class B, Class C and Class R

0.21%

Administrator Class

0.13%

Institutional Class

0.13%

Investor Class

0.32%

Class R4

0.08%

Class R6

0.03%

Absolute Return Fund

Class Level Admin. Fee

Class A and Class C

0.21%

Administrator Class

0.13%

Institutional Class

0.13%

Class R6

0.03%

Asset Allocation Fund

Class Level Admin. Fee

Class A, Class B, Class C and Class R

0.21%

Administrator Class

0.13%

Institutional Class

0.13%

Multi-Class Fixed Income (Non-Money Market) Funds and

Classes

Class Level Admin. Fee

Class A, Class B, Class C and Class R

0.16%

Administrator Class

0.10%

Institutional Class and Class R4

0.08%

Investor Class

0.19%

Class R6

0.03%

Multi-Class Money Market Funds and Classes

Class Level Admin. Fee

Class A, Class B and Class C

0.22%

Administrator Class

0.10%

Institutional Class

0.08%

Investor Class

0.25%

Select Class

0.04%

Service Class

0.12%

Sweep Class and Daily Class

0.22%

 


Fees for Funds Trust Single Class Funds

 

Single Class Non-Money Market/Non-Fixed Income Funds

Class Level Admin. Fee

WealthBuilder unnamed Class

0.21%

Retail Class

0.21%

Administrator Class

0.13%

Institutional Class

0.13%

Investor Class

0.32%

Single Class Fixed Income (Non-Money Market) Funds

Class Level Admin. Fee

Retail Class

0.16%

Administrator Class

0.10%

Institutional Class

0.08%

Investor Class

0.19%

Single Class Money Market Funds

Class Level Admin. Fee

Retail Class

0.22%

Service Class

0.12%

Institutional Class

0.08%

Investor Class

0.25%

 

 


Schedule A to Appendix A

Class-Level Administration Agreement

 

WELLS FARGO FUNDS TRUST

List of Funds

 

 

Funds/Classes*

Class-Level

Admin. Fee

Absolute Return Fund

Class A

Class C

Class R6

Administrator Class

Institutional Class

 

0.21%

0.21%

0.03%

0.13%

0.13%

Adjustable Rate Government Fund

Class A

Class B

Class C

Administrator Class

Institutional Class

 

0.16%

0.16%

0.16%

0.10%

0.08%

Alternative Strategies Fund

Class A

Class C

Administrator Class

Institutional Class

 

0.21%

0.21%

0.13%

0.13%

Asia Pacific Fund

Class A

Class C

Administrator Class

Institutional Class

Investor Class

 

0.21%

  0.21%

0.13%

0.13%

0.32%

Asset Allocation Fund

Class A

Class B

Class C

Class R

Administrator Class

Institutional Class

 

0.21%

0.21%

0.21%

0.21%

0.13%

0.13%

C&B Large Cap Value Fund

Class A

Class B

Class C

Administrator Class

Institutional Class

Investor Class

 

0.21%

0.21%

0.21%

0.13%

0.13%

0.32%

C&B Mid Cap Value Fund

Class A

Class B

Class C

Administrator Class

Institutional Class

Investor Class

 

0.21%

0.21%

0.21%

0.13%

0.13%

0.32%

California Limited-Term Tax-Free Fund

Class A

Class C

Administrator Class

Institutional Class

 

0.16%

0.16%

0.10%

0.08%

California Tax-Free Fund

Class A

Class B

Class C

Administrator Class

Institutional Class

 

0.16%

0.16%

0.16%

0.10%

0.08%

California Municipal Money Market Fund

Class A

Administrator Class

Institutional Class

Service Class

Sweep Class

 

0.22%

0.10%

0.08%

0.12%

0.22%

Capital Growth Fund

Class A

Class C

Class R4

Class R6

Administrator Class

Institutional Class

Investor Class

 

0.21%

0.21%

0.08%

0.03%

0.13%

0.13%

0.32%

Cash Investment Money Market Fund

Administrator Class

Institutional Class

Select Class

Service Class

 

0.10%

0.08%

0.04%

0.12%

Colorado Tax-Free Fund

Class A

Class C

Administrator Class

 

0.16%

0.16%

0.10%

Common Stock Fund

Class A

Class B

Class C

Class R6

Administrator Class

Institutional Class

Investor Class

 

0.21%

0.21%

0.21%

0.03%

0.13%

0.13%

0.32%

Conservative Income Fund

Institutional Class

 

0.08%

Core Bond Fund

Class A

Class B

Class C

Class R

Class R4

Class R6 

Administrator Class

Institutional Class

Investor Class

 

0.16%

0.16%

0.16%

0.16%

0.08%

0.03%

0.10%

0.08%

0.19%

Disciplined U.S. Core Fund

Class A

Class C

Administrator Class

Institutional Class

 

0.21%

0.21%

0.13%

0.13%

Discovery Fund

Class A

Class C

Class R6

Administrator Class

Institutional Class

Investor Class

 

0.21%

0.21%

0.03%

0.13%

0.13%

0.32%

Diversified Capital Builder Fund

Class A

Class B

Class C

Administrator Class

Institutional Class

 

0.21%

0.21%

0.21%

0.13%

0.13%

Diversified Equity Fund

Class A

Class B

Class C

Administrator Class

 

0.21%

0.21%

0.21%

0.13%

Diversified Income Builder

Class A

Class B

Class C

Administrator Class

Institutional Class

 

0.21%

0.21%

0.21%

0.13%

0.13%

Diversified International Fund

Class A

Class B

Class C

Administrator Class

Institutional Class

Investor Class

 

0.21%

0.21%

0.21%

0.13%

0.13%

0.32%

Dow Jones Target Today Fund

Class A

Class B

Class C

Class R

Class R4

Class R6

Administrator Class

Investor Class

 

0.21%

0.21%

0.21%

0.21%

0.08%

0.03%

0.13%

0.32%

Dow Jones Target 2010 Fund

Class A

Class B

Class C

Class R

Class R4

Class R6

Administrator Class

Investor Class

 

0.21%

0.21%

0.21%

0.21%

0.08%

0.03%

0.13%

0.32%

Dow Jones Target 2015 Fund

Class A

Class R

Class R4

Class R6

Administrator Class

Investor Class

 

0.21%

0.21%

0.08%

0.03%

0.13%

0.32%

Dow Jones Target 2020 Fund

Class A

Class B

Class C

Class R

Class R4

Class R6

Administrator Class

Investor Class

 

0.21%

0.21%

0.21%

0.21%

0.08%

0.03%

0.13%

0.32%

Dow Jones Target 2025 Fund

Class A

Class R

Class R4

Class R6

Administrator Class

Investor Class

 

0.21%

0.21%

0.08%

0.03%

0.13%

0.32%

Dow Jones Target 2030 Fund

Class A

Class B

Class C

Class R

Class R4

Class R6

Administrator Class

Investor Class

 

0.21%

0.21%

0.21%

0.21%

0.08%

0.03%

0.13%

0.32%

Dow Jones Target 2035 Fund

Class A

Class R

Class R4

Class R6

Administrator Class

Investor Class

 

0.21%

0.21%

0.08%

0.03%

0.13%

0.32%

Dow Jones Target 2040 Fund

Class A

Class B

Class C

Class R

Class R4

Class R6

Administrator Class

Investor Class

 

0.21%

0.21%

0.21%

0.21%

0.08%

0.03%

0.13%

0.32%

Dow Jones Target 2045 Fund

Class A

Class R

Class R4

Class R6

Administrator Class

Investor Class

 

0.21%

0.21%

0.08%

0.03%

0.13%

0.32%

Dow Jones Target 2050 Fund

Class A

Class C

Class R

Class R4

Class R6

Administrator Class

Investor Class

 

0.21%

0.21%

0.21%

0.08%

0.03%

0.13%

0.32%

Dow Jones Target 2055 Fund

Class A

Class R

Class R4

Class R6

Administrator Class

Investor Class

 

0.21%

0.21%

0.08%

0.03%

0.13%

0.32%

Dow Jones Target 2060 Fund1

Class A

Class C

Class R

Class R4

Class R6

Administrator Class

 

0.21%

0.21%

0.21%

0.08%

0.03%

0.13%

Dynamic Target Today Fund2

Class A

Class C

Class R

Class R4

Class R6

 

0.21%

0.21%

0.21%

0.08%

0.03%

Dynamic Target 2015 Fund3

Class A

Class C

Class R

Class R4

Class R6

 

0.21%

0.21%

0.21%

0.08%

0.03%

Dynamic Target 2020 Fund4

Class A

Class C

Class R

Class R4

Class R6

 

0.21%

0.21%

0.21%

0.08%

0.03%

Dynamic Target 2025 Fund5

Class A

Class C

Class R

Class R4

Class R6

 

0.21%

0.21%

0.21%

0.08%

0.03%

Dynamic Target 2030 Fund6

Class A

Class C

Class R

Class R4

Class R6

 

0.21%

0.21%

0.21%

0.08%

0.03%

Dynamic Target 2035 Fund7

Class A

Class C

Class R

Class R4

Class R6

 

0.21%

0.21%

0.21%

0.08%

0.03%

Dynamic Target 2040 Fund8

Class A

Class C

Class R

Class R4

Class R6

 

0.21%

0.21%

0.21%

0.08%

0.03%

Dynamic Target 2045 Fund9

Class A

Class C

Class R

Class R4

Class R6

 

0.21%

0.21%

0.21%

0.08%

0.03%

Dynamic Target 2050 Fund10

Class A

Class C

Class R

Class R4

Class R6

 

0.21%

0.21%

0.21%

0.08%

0.03%

Dynamic Target 2055 Fund11

Class A

Class C

Class R

Class R4

Class R6

 

0.21%

0.21%

0.21%

0.08%

0.03%

Dynamic Target 2060 Fund12

Class A

Class C

Class R

Class R4

Class R6

 

0.21%

0.21%

0.21%

0.08%

0.03%

Emerging Growth Fund

Class A

Class C

Administrator Class

Institutional Class

Investor Class

 

0.21%

0.21%

0.13%

0.13%

0.32%

Emerging Markets Equity Fund

Class A

Class B

Class C

Class R6

Administrator Class

Institutional Class

 

0.21%

0.21%

0.21%

0.03%

0.13%

0.13%

Emerging Markets Equity Income Fund

Class A

Class C

Administrator Class

Institutional Class

 

0.21%

0.21%

0.13%

0.13%

Emerging Markets Equity Select Fund

Class A

Class C

Class R6

Administrator Class

Institutional Class

 

0.21%

0.21%

0.03%

0.13%

0.13%

Emerging Markets Local Bond Fund

Class A

Class C

Administrator Class

Institutional Class

 

0.16%

0.16%

0.10%

0.08%

Endeavor Select Fund

Class A

Class B

Class C

Administrator Class

Institutional Class

 

0.21%

0.21%

0.21%

0.13%

0.13%

Enterprise Fund

Class A

Class B

Class C

Class R6

Administrator Class

Institutional Class

Investor Class

 

0.21%

0.21%

0.21%

0.03%

0.13%

0.13%

0.32%

Global Long/Short Fund

Class A

Class C

Administrator Class

Institutional Class

 

0.21%

0.21%

0.13%

0.13%

Global Opportunities Fund

Class A

Class B

Class C

Administrator Class

Institutional Class

 

0.21%

0.21%

0.21%

0.13%

0.13%

Government Money Market Fund

Class A

Administrator Class

Institutional Class

Select Class

Service Class

Sweep Class

 

0.22%

0.10%

0.08%

0.04%

0.12%

0.22%

Government Securities Fund

Class A

Class B

Class C

Administrator Class

Institutional Class

Investor Class

 

0.16%

0.16%

0.16%

0.10%

0.08%

0.19%

Growth Fund

Class A

Class C

Administrator Class

Institutional Class

Investor Class

 

0.21%

0.21%

0.13%

0.13%

0.32%

Growth Balanced Fund

Class A

Class B

Class C

Administrator Class

 

0.21%

0.21%

0.21%

0.13%

Heritage Money Market Fund

Administrator Class

Institutional Class

Select Class

Service Class

 

0.10%

0.08%

0.04%

0.12%

High Income Fund

Class A

Class B

Class C

Administrator Class

Institutional Class

Investor Class

 

0.16%

0.16%

0.16%

0.10%

0.08%

0.19%

High Yield Bond Fund

Class A

Class B

Class C

Administrator Class

Institutional Class

 

0.16%

0.16%

0.16%

0.10%

0.08%

High Yield Municipal Bond Fund

Class A

Class C

Administrator Class

Institutional Class

 

0.16%

0.16%

0.10%

0.08%

Income Plus Fund

Class A

Class B

Class C

Administrator Class

Institutional Class

Investor Class

 

0.16%

0.16%

0.16%

0.10%

0.08%

0.19%

Index Asset Allocation Fund

Class A

Class B

Class C

Administrator Class

 

0.21%

0.21%

0.21%

0.13%

Index Fund

Class A

Class B

Class C

Administrator Class

Investor Class

 

0.21%

0.21%

0.21%

0.13%

0.32%

Intermediate Tax/AMT-Free Fund

Class A

Class C

Administrator Class

Institutional Class

Investor Class

 

0.16%

0.16%

0.10%

0.08%

0.19%

International Bond Fund

Class A

Class B

Class C

Administrator Class

Institutional Class

Class R6

 

0.16%

0.16%

0.16%

0.10%

0.08%

0.03%

International Equity Fund

Class A

Class B

Class C

Class R

Administrator Class

Institutional Class

 

0.21%

0.21%

0.21%

0.21%

0.13%

0.13%

International Value Fund

Class A

Class B

Class C

Administrator Class

Institutional Class

 

0.21%

0.21%

0.21%

0.13%

0.13%

Intrinsic Small Cap Value Fund

Class A

Class C

Administrator Class

Institutional Class

Investor Class

 

0.21%

0.21%

0.13%

0.13%

0.32%

Intrinsic Value Fund

Class A

Class B

Class C

Class R

Class R4

Class R6

Administrator Class

Institutional Class

 

0.21%

0.21%

0.21%

0.21%

0.08%

0.03%

0.13%

0.13%

Instrinsic World Equity Fund

Class A

Class C

Administrator Class

Institutional Class

 

0.21%

0.21%

0.13%

0.13%

Large Cap Core Fund

Class A

Class C

Administrator Class

Institutional Class

Investor Class

 

0.21%

0.21%

0.13%

0.13%

0.32%

Large Cap Growth Fund

Class A

Class C

Class R

Class R4

Class R6

Administrator Class

Institutional Class

Investor Class

 

0.21%

0.21%

0.21%

0.08%

0.03%

0.13%

0.13%

0.32%

Large Company Value Fund

Class A

Class C

Administrator Class

Institutional Class

Investor Class

 

0.21%

0.21%

0.13%

0.13%

0.32%

Managed Account CoreBuilder Shares Series M

0.00%

Minnesota Tax-Free Fund

Class A

Class C

Administrator Class

 

0.16%

0.16%

0.10%

Moderate Balanced Fund

Class A

Class B

Class C

Administrator Class

 

0.21%

0.21%

0.21%

0.13%

Money Market Fund

Class A

Class B

Class C

Daily Class

Investor Class

Service Class

 

0.22%

0.22%

0.22%

0.22%

0.25%

0.12%

Municipal Bond Fund

Class A

Class B

Class C

Administrator Class

Institutional Class

Investor Class

 

0.16%

0.16%

0.16%

0.10%

0.08%

0.19%

Municipal Cash Management Money Market Fund

Administrator Class

Institutional Class

Service Class

 

 

0.10%

0.08%

0.12%

Municipal Money Market Fund

Class A

Institutional Class

Investor Class

Service Class

Sweep Class

 

0.22%

0.08%

0.25%

0.12%

0.22%

National Tax-Free Money Market Fund

Class A

Administrator Class

Institutional Class

Service Class

Sweep Class

 

0.22%

0.10%

0.08%

0.12%

0.22%

North Carolina Tax-Free Fund

Class A

Class C

Institutional Class

 

0.16%

0.16%

0.08%

Omega Growth Fund

Class A

Class B

Class C

Class R

Administrator Class

Institutional Class

 

0.21%

0.21%

0.21%

0.21%

0.13%

0.13%

Opportunity Fund

Class A

Class B

Class C

Administrator Class

Institutional Class

Investor Class

 

0.21%

0.21%

0.21%

0.13%

0.13%

0.32%

Pennsylvania Tax-Free Fund

Class A

Class B

Class C

Institutional Class

 

0.16%

0.16%

0.16%

0.08%

Precious Metals Fund

Class A

Class B

Class C

Administrator Class

Institutional Class

 

0.21%

0.21%

0.21%

0.13%

0.13%

Premier Large Company Growth Fund

Class A

Class B

Class C

Class R4

Class R6

Administrator Class

Institutional Class

Investor Class

 

0.21%

0.21%

0.21%

0.08%

0.03%

0.13%

0.13%

0.32%

Real Return Fund

Class A

Class B

Class C

Administrator Class

 

0.16%

0.16%

0.16%

0.10%

Short Duration Government Bond Fund

Class A

Class B

Class C

Class R6

Administrator Class

Institutional Class

 

0.16%

0.16%

0.16%

0.03%

0.10%

0.08%

Short-Term Bond Fund

Class A

Class C

Institutional Class

Investor Class

 

0.16%

0.16%

0.08%

0.19%

Short-Term High Yield Bond Fund

Class A

Class C

Administrator Class

Institutional Class

Investor Class

 

0.16%

0.16%

0.10%

0.08%

0.19%

Short-Term Municipal Bond Fund

Class A

Class C

Administrator Class

Institutional Class

Investor Class

 

0.16%

0.16%

0.10%

0.08%

0.19%

Small Cap Opportunities Fund

Administrator Class

Institutional Class

 

0.13%

0.13%

Small Cap Value Fund

Class A

Class B

Class C

Class R6

Administrator Class

Institutional Class

Investor Class

 

0.21%

0.21%

0.21%

0.03%

0.13%

0.13%

0.32%

Small Company Growth Fund

Class A

Class B

Class C

Class R6

Administrator Class

Institutional Class

 

0.21%

0.21%

0.21%

0.03%

0.13%

0.13%

Small Company Value Fund

Class A

Class B

Class C

Administrator Class

Institutional Class

 

0.21%

0.21%

0.21%

0.13%

0.13%

Small/Mid Cap Value Fund

Class A

Class C

Administrator Class

Institutional Class

Investor Class

 

0.21%

0.21%

0.13%

0.13%

0.32%

Specialized Technology Fund

Class A

Class B

Class C

Administrator Class

Investor Class

 

0.21%

0.21%

0.21%

0.13%

0.32%

Special Mid Cap Value Fund

Class A

Class C

Class R6

Administrator Class

Institutional Class

Investor Class

 

0.21%

0.21%

0.03%

0.13%

0.13%

0.32%

Special Small Cap Value Fund

Class A

Class B

Class C

Class R6

Administrator Class

Institutional Class

 

0.21%

0.21%

0.21%

0.03%

0.13%

0.13%

Strategic Income Fund

Class A

Class C

Administrator Class

Institutional Class

 

0.16%

0.16%

0.10%

0.08%

Strategic Municipal Bond Fund

Class A

Class B

Class C

Administrator Class

Institutional Class

 

0.16%

0.16%

0.16%

0.10%

0.08%

Traditional Small Cap Growth Fund

Class A

Class C

Administrator Class

Institutional Class

 

0.21%

0.21%

0.13%

0.13%

Treasury Plus Money Market Fund

Class A

Institutional Class

Administrator Class

Service Class

Sweep Class

 

0.22%

0.08%

0.10%

0.12%

0.22%

Utility & Telecommunications Fund

Class A

Class B

Class C

Administrator Class

Institutional Class

 

0.21%

0.21%

0.21%

0.13%

0.13%

Ultra Short-Term Income Fund

Class A

Class C

Administrator Class

Institutional Class

Investor Class

 

0.16%

0.16%

0.10%

0.08%

0.19%

Ultra Short-Term Municipal Income Fund

Class A

Class C

Administrator Class

Institutional Class

Investor Class

 

0.16%

0.16%

0.10%

0.08%

0.19%

WealthBuilder Conservative Allocation Portfolio

0.21%

WealthBuilder Equity Portfolio

0.21%

WealthBuilder Growth Allocation Portfolio

0.21%

WealthBuilder Growth Balanced Portfolio

0.21%

WealthBuilder Moderate Balanced Portfolio

0.21%

WealthBuilder Tactical Equity Portfolio

0.21%

Wisconsin Tax-Free Fund

Class A

Class C

Investor Class

 

0.16%

0.16%

0.19%

100% Treasury Money Market Fund

Class A

Administrative Class

Institutional Class

Service Class

Sweep Class

 

0.22%

0.10%

0.08%

0.12%

0.22%

 

Approval by the Board of Trustees:  June 1, 2015

 

* On May 20, 2015, the Board of Wells Fargo Funds Trust approved the conversion of Investor Class shares to Class A shares of each corresponding Fund.  The conversion would apply to all Funds and is expected to occur on or about October 23, 2015.


The foregoing fee schedule is agreed to as of July 1, 2015 and shall remain in effect until changed in writing by the parties.

 

WELLS FARGO FUNDS TRUST

 

 

By:  _________________________________      

  C. David Messman

  Secretary

 

 

WELLS FARGO FUNDS MANAGEMENT, LLC

 

 

By:   _________________________________                  

Paul Haast

Senior Vice President

 

 

1.  On February 19, 2015 the Board of Wells Fargo Funds Trust approved the establishment of the Dow Jones Target 2060 Fund.  The Fund will commence operations in the fourth quarter 2015.

2.   On On March 27, 2015 the Board of Wells Fargo Funds Trust approved the establishment of the Dynamic Target Today Fund.  The Fund will commence operations in the fourth quarter 2015.

3.   On On March 27, 2015 the Board of Wells Fargo Funds Trust approved the establishment of the Dynamic Target 2015 Fund.  The Fund will commence operations in the fourth quarter 2015.

4.   On On March 27, 2015 the Board of Wells Fargo Funds Trust approved the establishment of the Dynamic Target 2020 Fund.  The Fund will commence operations in the fourth quarter 2015.

5.   On On March 27, 2015 the Board of Wells Fargo Funds Trust approved the establishment of the Dynamic Target 2025 Fund.  The Fund will commence operations in the fourth quarter 2015.

6.   On On March 27, 2015 the Board of Wells Fargo Funds Trust approved the establishment of the Dynamic Target 2030 Fund.  The Fund will commence operations in the fourth quarter 2015.

7.  On On March 27, 2015 the Board of Wells Fargo Funds Trust approved the establishment of the Dynamic Target 2035 Fund.  The Fund will commence operations in the fourth quarter 2015.

8.  On On March 27, 2015 the Board of Wells Fargo Funds Trust approved the establishment of the Dynamic Target 2040 Fund.  The Fund will commence operations in the fourth quarter 2015.

9.   On On March 27, 2015 the Board of Wells Fargo Funds Trust approved the establishment of the Dynamic Target 2045 Fund.  The Fund will commence operations in the fourth quarter 2015.

10. On On March 27, 2015 the Board of Wells Fargo Funds Trust approved the establishment of the Dynamic Target 2050 Fund.  The Fund will commence operations in the fourth quarter 2015.

11. On On March 27, 2015 the Board of Wells Fargo Funds Trust approved the establishment of the Dynamic Target 2055 Fund.  The Fund will commence operations in the fourth quarter 2015.

12. On On March 27, 2015 the Board of Wells Fargo Funds Trust approved the establishment of the Dynamic Target 2060 Fund.  The Fund will commence operations in the fourth quarter 2015.