Company:  WELLS FARGO FUNDS TRUST (CBEAX)
Form Type:  485BPOS
Filing Date:  2/24/2021 
CIK:  0001081400 
Address:  525 MARKET STREET 
City, State, Zip:  SAN FRANCISCO, California 94105 
Telephone:  800-222-8222 
Fiscal Year:  12/31 
Register and access this filing in:     
  FORM 485BPOS
    Investment Objective
      OPERATING EXPENSES
    Principal Investment Risks
    Investment Objective
      OPERATING EXPENSES
    Investment Objective
      OPERATING EXPENSES
    Fund Management
    Investment Objective
      OPERATING EXPENSES
    Performance
    Fund Management
    Investment Objective
      OPERATING EXPENSES
    Investment Objective
      OPERATING EXPENSES
    Investment Objective
    Investment Objective
    Investment Objective
    Investment Objective
    Investment Objective
    Investment Objective
    Management of the Funds
    International Management
    International Management
      SALES CHARGES
      SALES CHARGES
    Financial Highlights
      FINANCIAL HIGHLIGHTS TABLE
    Appendix A - Sales Charge Reductions and Waivers for Certain ...
      OPERATING EXPENSES
      FUND PERFORMANCE
      Fund Management
      Investment Objective
        SHAREHOLDER FEES
        OPERATING EXPENSES
        FUND PERFORMANCE
      Fund Management
      Investment Objective
      Investment Objective
      Management of the Funds
        SHAREHOLDER FEES
      Financial Highlights
        OPERATING EXPENSES
      Performance
        FUND PERFORMANCE
      Investment Objective
        SHAREHOLDER FEES
        FUND PERFORMANCE
      Investment Objective
        SHAREHOLDER FEES
        OPERATING EXPENSES
        FUND PERFORMANCE
      Investment Objective
        SHAREHOLDER FEES
        OPERATING EXPENSES
        FUND PERFORMANCE
      Investment Objective
        SHAREHOLDER FEES
        OPERATING EXPENSES
        FUND PERFORMANCE
      Fund Management
      Investment Objective
      Investment Objective
      Investment Objective
      Investment Objective
      Investment Objective
      Management of the Funds
      International Management
      International Management
        SALES CHARGES
      Buying and Selling Fund Shares
      Financial Highlights
        FINANCIAL HIGHLIGHTS TABLE
        OPERATING EXPENSES
      Performance
      Investment Objective
        SHAREHOLDER FEES
        OPERATING EXPENSES
      Investment Objective
        SHAREHOLDER FEES
        OPERATING EXPENSES
      Investment Objective
        SHAREHOLDER FEES
        OPERATING EXPENSES
      Investment Objective
        SHAREHOLDER FEES
        OPERATING EXPENSES
      Investment Objective
        SHAREHOLDER FEES
        OPERATING EXPENSES
      Investment Objective
      Investment Objective
      Investment Objective
      Investment Objective
      Investment Objective
      Investment Objective
      Management of the Funds
      International Management
      International Management
      Buying and Selling Fund Shares
      Financial Highlights
        FINANCIAL HIGHLIGHTS TABLE
        OPERATING EXPENSES
      Performance
      Investment Objective
        SHAREHOLDER FEES
        OPERATING EXPENSES
      Investment Objective
        SHAREHOLDER FEES
        OPERATING EXPENSES
      Investment Objective
        SHAREHOLDER FEES
        OPERATING EXPENSES
      Investment Objective
        SHAREHOLDER FEES
        OPERATING EXPENSES
      Investment Objective
        SHAREHOLDER FEES
        OPERATING EXPENSES
      Investment Objective
        SHAREHOLDER FEES
        OPERATING EXPENSES
      Investment Objective
      Investment Objective
      Investment Objective
      Investment Objective
      Investment Objective
      Investment Objective
      Investment Objective
      Management of the Funds
      International Management
      International Management
        SALES CHARGES
        SALES CHARGES
      Financial Highlights
    STATEMENT OF ADDITIONAL INFORMATION
      FUND INVESTMENT POLICIES AND RISKS
      Fundamental Investment Policies
      TRUSTEES AND OFFICERS
        NAME AND TITLE
        NAME AND TITLE
        NAME AND TITLE
        NAME AND TITLE
        TRUSTEE OWNERSHIP
      Number of Accounts Subject to Performance Fee 2
      Assets of Accounts Subject to Performance Fee $1.55 B
      Manager Fund
      Distribution Fees
      DETERMINATION OF NET ASSET VALUE
      ADDITIONAL PURCHASE AND REDEMPTION INFORMATION
      CONTROL PERSONS AND PRINCIPAL FUND HOLDERS
        BENEFICIAL OWNERS
    PART C
      Item 28. Exhibits
      Item 29. Persons Controlled by or Under Common Control with ...
      Item 30. Indemnification.
      Item 31. Business and Other Connections of the Investment ...
      Item 32. Principal Underwriter.
        NAME AND TITLE
      Item 33. Location of Accounts and Records.
      Item 34. Management Services.
      Item 35. Undertakings.
    SIGNATURES
  EXHIBIT 99.J OTHER OPININ
  EXHIBIT 99.I LEGAL OPININ